HomeMy WebLinkAbout1967-68FY BUDGET
. ..~----- ---.--- ANN U A L
BUDGET
A PROGRAM OF
MUNICIPAL SERVICES
FOR THE
FISCAL YEAR
July 1,1967 - June 30,1968
- CITY OF TUSTIN, CALIFORNIA
R E PO R T
June 20,1967
The following document is the Final Budget for the City
of Tustin for the fiscal year 1967-68.
The Preliminary
Budget dated June 5,1967, as prepared by the City
Administrator and reviewed by the City Council, was
adopted as the "1967-68 Annual Budget" for the City of
Tustin
by Resolution No. 88S, dated June 19,1967.
Total budgeted revenues, reserves, and fund balances
amount to $1,243,345.
Total budgeted expenditures for
all activities and departments amount to $996,579.
Unappropriated funds maintained for contingencies and
unforeseen emergencies during the 1967-68 year, but not
anticipated for disbursement, amount to $246,766.
mb
.
THE CITY OF TUSTIN, CALIFORNIA
ANNUAL
BUDGET
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TABLE OF CONTENTS
Section I - General
Basic Data 1966-67
Basic Data Comparison
Definition of Terms
Section II - Recapitulation
Annual Budget Summary
City Budget Dollar
Section III - Revenues
Summary of Revenues
Revenue Detail
Fund Accounting Explanation
Revenue Accounts Explanation
Section IV - Personnel
Summary of Positions
Monthly Salary Schedule
Section V - Expenditures
Summary of Expenditures
Activity Structure
Distribution by Activity:
City Council
City Administrator Office
City Clerk Office
Finance Office
City Treasurer
City Attorney
Planning
Government Buildings
Community Promotion
Elections
Other Non-Departmental
Civil Defense
Building Regulation
Police
Fire
Public Works Administration
Waste Collection
Sanitary Sewers
Street Construction
Street Maintenance
Park Facilities
Recreation
=== CITY OF TUSTIN, CALIFORNIA
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BUDGET
SECTION I
GENERAL
- CITY OF TUSTIN. CALIFORNIA =~~~~--~--~~-~=
ANNUAL
BUDGET
BASIC DATA 1966
CITY OF TUSTIN
GENERAL
Area of City (square miles)
Assessed Valuation
Tax Rate per $100 assessed valuation
Fire Insurance Classification
Population (April 19&7)
Registered Voters (March 1967)
Housing Units (estimate)
Retail and Trade Outlets (Taxable Sales)
Miles of Sewer Lines
Miles of City Streets (Total)
Arterial
Collector
Local
Miles of City Owne~ Alleys
City Owned Buildings
Parks Maintained
Fire Vehicles
Police Vehicles
Signalized Intersections
ZONING
Acres zoned for:
Commerciéil
Industrial
Residential
COUNTY & OTHER LOCAL
Library
Newspaper
Clubs & Organizations
PUBLIC SCHOOLS (Total)
Elementary
Intermediate
High
- A General Law City -
- Incorporated on September 21,1927 -
- Council/Administrator
Form of Government -
CITY OF TUSTIN, CALIFORNIA
3.11
$23,217,260
$1.00
6
12,050
5,031
4,100
297
17.85
33.04
4.85
7.37
20.82
0.71
6
1
5
7
9
333
338
1,039
1
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32
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--------- ANNUAL
BASIC DATA
BUDGET --
COMPARISON
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POPULATION ((000)
ASSESSED VALUATION ($1.000000) -f--+-
EMPLOYEES /1000 POP, -..-
PER CAPITA EXPENDITURE ($10) ------
22
20
18
16
14
12
10
8
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CAPìTA,,:,,-
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EMPï.OYE~Š'-
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61-62
62-63
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CITY c;~"~USTIN. C~~~F~RN'A ~~"":6' -~-":~7_~1
----.---------------------- ANNUAL
BUDGET
DEFINITION OF TERMS
1.
Budget:
A comprehensive plan, expressed in financial terms
by which an operating program is effective for a
given period of time. A performance budget is one
which is based upon the work or service to be
accomplished. An object account budget is one
in which funds are budgeted for specific items of
expenditure. The budget of Tustin is a combination
of the two basic types.
A.
Preliminary:
The budget recommended to the City Council
for their consideration by the City
Administrator.
B.
Final:
The budget which has been approved by the
City Council for the financing of govern-
mental operations for the ensuing fiscal
year.
2.
Fund
A sum of money set aside to carryon specific
activities in accordance with special regulations
or restrictions. A fund constitutes an independent
accounting entity.
A.
General:
A fund accounting for general government
which is financed by revenues not other-
wise restricted to special purposes.
B.
Special:
Accounting of funds requiring expenditures
for special purposes under existing
regulations.
3.
4.
Personnel:
The number of paid employees.
Personal Services:
Salaries or wages of paid employees.
5.
Non-Personal Expense:
Expenditures for operations, supplies and services.
6.
Equipment Outlay:
Equipment used in the operation of the City and of
a non-expendable nature, i.e., with a useful life
of several years.
7.
Capital Improvements:
Major improvements including land and right-of-way
acquisition, buildings, street construction, and
related facilities.
___.n__~ CITY OF TUSTIN, CALIFORNIA
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- I
- ANNUAL
BUDGET
8.
Salary Adjustment:
Changes in Personal Services resulting from a change
in salary rate or reclassification of positions.
9.
Appropriation:
Funds authorized to be expended.
Revenue:
Funds received to finance the City's expenditures.
Account Series:
An accounting level to recODd the costs of a specific
function, department, or group of services.
Activity:
The title of a particular account series.
CITY OF TUSTIN, CALIFORNIA ==~~~~3--=o=~==
---- -----------------.
ANNUAL
BUDGET
SECTION II
RECAPITULATION
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-----------~- CITY OF TUSTIN, CALIFORNIA
----~-_._------ ANNUAL
BUDGET --
ANNUAL BUDGET SUMMARY
MOTOR i
TRAFFIC GASOLINE VEHICLE SEWER TOTAL
GENERAL SAFETY TAX LICENSE TRUNK ALL I
FUND FUND FUNDS FUNDS FUNDS FUNDS I
L
UND BALANCE, on Ii
June 30, 1966 $207,458 $ $ 52-,3g9 $ $ 90,903 $350,7091
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STlMATED: I'
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1966-67 Fiscal
Year:
REVENUE 661,300 49,000 90,797 67,500 11,500 880,09
EXPENDITURES 650,144 49,000 138,533 67,500 905,17
FUND BALANCE
on 6/30/67 $218,614 $ $ 4,603 $ $102,403 $325,62
DGETED:
1967-68 Fiscal
Year:
REVENUE $701,225 $ 46,000 $ 88,000 $ 68,500 $ 14,000 $917,72
EXPENDITURES 807,679 46,000 74,400 68,500 996,57
FUND BALANCE
on 6/30/68 $112,160 $ $ 18,203 $ $116,403 $246,76
RECAPITULATION OF 1967 - 1968 BUDGET
PENDITURES, 1967-68 FUND BALANCES on June 30, 1967:
Personal Services $505,362 General Fund $218,614
Non-Personal Expenses 304,538 Traffic Safety Fund
Equipment Outlay '18,279 Gasoline Tax Funds 4,603
Capital Improvements 168,400 Motor Vehicle Fund
Sewer Trunk Funds 102,403
TOTAL (Budgeted) $996,579 TOTAL (Estimated) $325,620
DGETED RESERVE
1967-68
$246,766
ESTIMATED REVENUE
1967-68
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TOTAL
$1,243,345
TOTAL
$917,725
$1,243,345
.~ CITY OF TUSTIN, CALIFORNIA == n~_====c,
--.----------- ANN U A L
CITY
BUDGET
REVENUES
STATE GRANTS Ii
OTHER SUBVENTIONS-
MISCELLANEOUS
REVENUE
LICENSES a
PERMITS
FINES a
FORFEITURES
BUDGET
DOLLARr 1967- 68
--
I
PROPERTY. SALES
a OTHER TAXES
EXPENDITURES
NON-DEPARTMENTAL a
COMMUNITY PROMOTION
GENERAL GOVERNMENT
a PROPERTY
PARKS ð
RECREATION
PUBLIC WORKS a
WASTE COLLECTION
PUBLIC SAFETY a
BULDING REGULATION
37.1 ~
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. ---- u_----- CITY OF TUSTIN, CALlF.OR~~iA ----~.
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--------.----- ANN U A L
BUDGET
SECTION III
REVENUES
=--~c===~===~~-= CITY OF TUSTIN, CALIFORNiA
-- --- --------
-- ANNUAL
BUDGET
SUMMARY OF REVENUES
1965-66 1966-67 1966-67 1967-68
SOURCE Actual Budget Estimate Budget
Property, Sales,
and Other Taxes $421,901 $429,925 $536,235 $581,925
Licenses & Permits 99,513 98,120 84,230 95,340
Fines & Forfeitures 51,002 50,000 54,700 51,000
Use of Money & Property 6,329 5,510 15,430 12,610
Current Service Charges 16,477 18,475 16,050 16,050
Grants & Subventions 192,576 149,520 169,667 159,500
Other Revenue 7,465 1,300 3,785 1,300
TOTAL $795,263 $752,850 $880,097 if $917,725
* NOTE:
Due to conversion from cash to accrual basis accounting, wit
13 month revenues recorded in 1966-67 for certain revenue
accounts rather than recorded as revenue in the new fiscal
year, total estimated revenues for 1966-67 exceed the amount
that would have been shown under the former cash system.
Under the former system, revenues for 1966-67 would have bee
estimated at $872,297. Accrual accounting records revenues I
during that fiscal year in which such revenues were actually
earned. Revenues can therefore be properly matched with
expenditures for any given fiscal year,
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I=~~~.c.=~~~~-=~== CITY OF TUSTIN, CALIFORNIA
---------
6
ANNUAL BUDGET
REVENUE DETAIL
1965-66 1966-67 1966-67 1967-68
SOURCE Actual Budget Estimate Budget
GENERAL FUND
910 Property Taxes-Secured $168,653 $175,000 $205,000 $235,000
911 Property Taxes-Unsecured 11,146 11,500 21,000 25,000
912 Property Taxes-Delinquent 13,144 8,500 11,000 15,000
913 Solvent Credit Taxes 226 225 225 225
914 Trailer Coach Fees 4,031 3,700 3,700 3,700
915 Sales & Use Taxes 207,275 215,000 275,000 280,000
916 Franchise Taxes 17,443 16,000 20,310 23,000
920 Business License Fees 40,127 39,000 40,000 40,000
922 Bicycle License Fees 115 120 300 290
924 Building Permits 55,096 40,000 30,000 40,000
928 Street Permits 4,174 4,000 6,500 5,000
929 Other Permits 230 50
931 Non-Traffic Fines 4,625 4,000 5,700 5,000
940 Interest-General Fund 1,446 1,200 6,500 4,000
942 Other Interest 52 10 10 10
943 Rents 1,685 1,600 1,600 1,600
950 Planning Fees 1,720 1,925 1,500 1,500
951 Sale of Publications 201 235 200 200
953 Sundry Service Fees 3,732 3,500 3,700 3,700
955 General Engineering Fees 351 315 150 150
956 Street Construction 550
957 Weed Abatemnnt 1,101 500 500 500
958 Recreation Fees 8,805 12,000 10,000 10,000
971 Sale of Property 300 605 300
973 Contributions 100
974 Street Reimbursements 5,085 790
975 Sundry Other Revenue 2,282 1,000 2,390 1,000
980 Alcoholic Beverage Licenses 4,463 4,200 5,910 6,000
989 County Grants 6,155 8,480
TOTAL $563,783 $543,830 $661,300 $701,225
TRAFFIC SAFETY FUND
930 Traffic Fines $ 46,377 $ 46,000 $ 49,000 $ 46,000
MOTOR VEHICLE LICENSE FUND
981 Motor Vehicle Licenses $ 65,744 $ 64,500 $ 67,500 $ 68,500
TOTAL GENERAL
PURPOSE FUNDS $675,904 $654,330 $777,800 $8l5,72!:¡
======,====== CITY OF TUSTIN, CALIFORNIA
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- ANNUAL
BUDGET
1965-66 1966-67 1966-67 1967-68
SOURCE Actual Budget Estimate Budget
STATE GASOLINE TAX FUND
985 Section 2107 $ 44,280 $ 37,720 $ 38,077 $ 39,800
986 Section 2107.5 3,000 3,000 3,000 3,000
987 Section l86.1-a 4,800 4,800 5,200 4,800
988 Section 186.l-b 33,620 35,300 41,500 37,400
940 Interest-Gas Tax Funds 1,395 1,200 3,020 3,000
TOTAL $ 87,095 $ 82,020 $ 90,797 $ 88,000
SEWER MAIN TRUNK FUND
927 Sewer Connection Fees $ 30,514 $ 15,000 $ 7,200 $ 10,000
940 Interest-Sewer Funds 1,750 l,500 4,300 4,000
TOTAL $ 32,264 $ 16,500 $ 11,500 $ 14,000
TOTAL SPECIAL
PURPOSE FUNDS $119,359 $ 98,520 $102,297 $102,000
TOTAL ALL FUNDS $795,263 $752,850 $880,097 $917 , 725
CITY OF TUSTIN, CALIFORNIA
~---~-~c====\
8
ANNUAL
BUDGET
FUND ACCOUNTING EXPLANATION
GENERAL FUND
Approximately seventy-five percent of all monies received
by the City are deposited into the General Fund, and it is
used to finance general City operations. The major portion
of General Fund monies are received from property and sales
taxes.
TRAFFIC SAFETY FUND
Revenues derived from fines imposed upon conviction of
misdemeanor violations of the Vehicle Code and from bail
which has been forfeited by persons violating the Code,
are deposited into the Traffic Safety Fund. State law
prohibits the use of monies in this fund for police
officer compensation.
MOTOR VEHICLE LICENSE FUND
Motor vehicle license fees are deposited into the Motor
Vehicle License Fund. Monies received are required to
be expended for law enforcement; regulation, control,
and fire protection of highway traffic; and other State
purposes.
GASOLINE TAX FUND
Funds collected under Sections 186 and 2107 of the Streets
and Highways Code are distributed to cities, primarily on
the basis of population, and are deposited into the Gasoline
Tax Fund. Monies so received must generally be expended
for the maintenance or construction of the State approved
"select aid system" of streets,
SEWER MAIN TRUNK FUND
Fees collected by the City from property owners for
connections made to the City's sewer system are deposited
into this fund. Monies so received are distributed on the
basis of 25% to the County Sanitation District No.7 for
the construction and maintenance of City sewers, and 75%
to the City for construction of new trunk sewers by City
contract,
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!~~~U=C~~=~--C-C CITY OF TUSTIN, CALIFORNIA
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____n_---~- ANNUAL
BUD GET ,--
REVENUE ACCOUNTS EXPLANATION
Property Taxes (910,911 & 912):
General law cities may set a one dollar tax rate on
both secured and unsecured properties for general fund
purposes. However, an additional tax may be established
by cities for bonds, pension plans, parks and certain
other special purposes.
Solvent Credit Taxes (913):
An intangible property tax on goods and services based on
1/10 of 1% of the difference between outstanding accounts
receivable and accounts payable of various business concerns.
Trailer Coach Fees (914):
IS in lieu of property tax on trailers and is based on
location of registration of the trailer. Revenues are
distributed one-third each to schools, counties, and cities.
City Sales & Use Taxes (915):
The City tax rate on all goods and services authorized
under the Bradley-Burns Tax Law, is one percent and is
State collected.
Franchise Tax Fees (916):
Franchises for operations within the City, for which a
fee is charged, is presently held by the local natural
gas, electric, and water companies.
Business License Fees (920):
The City's business license ordinance establishes the
annual license fee charged to all catagories of businesses
operating within the City.
Bicycle License Fees:(922):
An annual bicycle license fee of $1.00 the first year, and
$0.50 for each annual renewal of the license is imposed on
all residents registering bicycles with the City.
Building Permit Fees (924):
Fees for new building construction is based on local
ordinance and includes electrical, plumbing, and other
related permits and fees.
Sewer Connection Fees (927):
A connection fee is charged to property owners when
sewers are installed and connected to the City's sewer
. CITY OF TUSTIN. CALIFORNIA
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ANNUAL
BUDGET
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Street Permits and Inspections (928):
A ~ermit fee is charged for the inspection of curbs, gutters,
sidewalks, and other street work installed by property
owners or developers.
Other Permits (929):
Permit fees are charged for a license to operate taxi
cabs, provide entertainment in public establishments, and
for other purposes.
Fines & Forfeitures (930 & 93l):
Includes vehicle code and non-traffic fines collected
primarily by the Orange County Municipal Court. 85% of
the amount received by the court for offenses occurring
within the City is returned to the City, with the exception
of 50%fbr arrests made by the California Highway Patrol.
Interest on Investments (940):
Interest received on invested surplus or inactive monies
and deposited into the General, Gas Tax, and Sewer Trunk Funds.
Other Interest (942):
Primarily interest received on delinquent propery tax
payments.
Civic Buildings Rents (943):
Rent received for use of the Youth Center by various groups.
Planning Fees (950):
Fees for Use Permits, Variances, and Zone Changes are
charged the property owners when applying for such actions
from the City,
Sales of Publications (951):
A charge is made for City maps and reproductions of documents
distributed to private individuals.
Sundry Service Fees (953):
Charges made to the public for special services including
police protection at special events and required installation
of street signs and trees in new developments.
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t~-~~ ~,~ -- ~~, CITY OF TUSTIN, CALIFORNIA
11
ANNUAL
BUDGET
General Engineering Fees (955):
Includes subdivision map filing fees and is charged for
engineering review and plan checking of such maps.
Street Construction (956):
Monies paid by property owners in lieu of required
installation by owner of curbs, gutters, and paving when
developing property.
Weed Abatement (957):
Assessment charge made against property owner when City
required to clear weeds on private property.
Recreation Fees (958):
A fee for the Summer Recreation and extension program is
charged all participants to partially off-set the cost
of special programs and services.
Sale of Property (971):
Includes revenue received from the sale of surplus City
or abandoned property.
Contributions (973):
Donations and contributions paid to the City by public
gratuities.
Street Reimbursement (974):
Contributions from private property owners for curbs
and gutters in connection with street improvement projects.
Sundry Other Revenue (975):
Refunds, miscellaneous collections, and other revenues
are included in this account.
Alcoholic Beverage License Fees (980):
Fees paid annually to and distributed by the Alcoholic
Beverage Control Board and is based on location of the
licensed facility, 90% of which is returned to the City.
Does not include the excise tax on sale of beverages
collected by the Board of Equalization.
il==~~
--- CITY OF TUSTIN. CALIFORNIA
12
- ANNUAL
BUDGET
Motor Vehicle License Fees (981):
Is in lieu of local property tax on vehicles and is
based on two percent of the market value of the vehicle.
Fee is distributed on the basis of population and not
where the vehicle is registered.
Contributions from County Gas Tax Funds to City projects
of County-wide benefit.
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State Gasoline Taxes (985,986,987 & 988):
State collected gas tax is apportioned to cities under
various State laws and may be used for engineering,
right-of-way,construction, and maintenance, primarily on
non-local streets.
County Grants (989):
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. =-~,-==~-,_c~~ CITY
OF TUSTIN, CALIFORNIA
---~-- ------
13
- _._--------~---~-- ANNUAL
BUDGET
SECTION IV
PERSONNEL
CITY OF TUSTIN, CALIFORNIA -------~---~~
BUDGET
--- ANNUAL
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1967-68 I'
Budget I
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SUMMARY OF POSITIONS
ACTIVITY
City Council
City Administrator Office
City Clerk Office
Finance Office
City Treasurer
City Attorney
Planning
Government Buildings
Community Promotion
Elections
Other Non-Departmental
Civil Defense
Building Regulation
Police
Fire
Public Works Administration
Waste Collection
Sanitary Sewers
Street Construction
Street Maintenance
Parks Facilities
Recreation (Director)
TOTALS
City population
Personnel per 1,000
population
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~~~==-=~~~~~ CITY
1965-66 1966-67 1966-67
Actual Budget Estimate
--
5 5 5
1 2 2
5 3 3
1 2 2
1 1 1
3 3~ 3J:;
1 1 1
2
5
19
9
3
2
5
22J:;
12
3
2
5
22J:;
12
3
3 5 5 7
1 1 1 1
1 1 1 1
60 69 69 72J:;
10,650 12,050 12,050 12,500
5.63 5.73 5.73 5.80
OF TUSTIN CALIFORNiA ====~----
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---- ------~- ANNUAL BUDGET
MONTHLY SALARY SCHEDULE
Range Steps *
Step A
Range A B C D E Hourly
Number 1st 2nd 3rd 4th 5th Equivalent **
35 1602 1682 1766 1854 1947 9.24
34 1526 1602 1682 1766 1854 8.80
33 1453 1526 1602 1682 1766 8.38
32 1384 1453 1526 1602 1682 7.98
31 1318 1384 1453 1526 1602 7.60
30 1255 1318 1384 1453 1526 7.24
29 1196 l255 1318 1384 1453 6.90
28 1139 1196 1255 1318 1384 6.57
27 1084 1139 1196 1255 13l8 6.25
26 1033 1084 1139 1196 1255 5.96
25 984 1033 1084 1139 1196 5.68
24 937 984 1033 1084 1139 5.41
23 892 937 984 1033 1084 5.15
22 850 892 937 984 1033 4.90
21 809 850 892 937 984 4.67
20 771 809 850 892 937 4.45
19 734 771 809 850 892 4.23
18 699 734 771 809 850 4.03
17 666 699 734 771 809 3.84
16 634 666 699 734 771 3.66
15 604 634 666 699 734 3.48
14 575 604 634 666 699 3.32
13 548 575 604 634 666 3.16
12 522 548 575 604 634 3.01
11 497 522 548 575 604 2.87
10 473 497 522 548 575 2.73
9 451 473 497 522 548 2.60
8 429 451 473 497 522 2.48
7 409 429 451 473 497 2.36
6 389 409 429 451 473 2.24
5 371 389 409 429 451 2.14
4 353 371 389 409 429 2.04
3 336 353 371 389 409 1.94
2 320 336 353 371 389 1.85
1 305 320 336 353 371 1. 76
* 5% between full range numbers and range steps.
** Based on a 40-hour week, the monthly rate is divided by
173.33 and the result rounded off to the nearest whole cent.
Increases Within Salary Range (Permanent Employees):
Step A: Starting Salary
Step B: After six months at A
Step C: After one year at B
Step D: After one year at C nJ
Step E: After one year at D
~~---~ CITY OF TUSTIN, CALIFORNIA ---
15
ANNUAL
BUDGET
SECTION V
EXPENDITURES
CITY OF TUSTIN. CALIFORNIA
--_.--~---
ANNUAL
BU DG ET ~---
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---------------
SUMMARY OF EXPENDITURES
1965-66 1966-67 1966-67 1967-68
ACTIVITY Actual Budget Estimate Budget
City Council $ 5,982 $ 10,615 $ 10,570 $ 10,837
City Administrator Office 15,061 20,713 23,311 24,673
City Clerk Office 27,681 24,287 28,802 32,194
Finance Office 6,389 15,643 15,859 18,961
City Treasurer
City Attorney 9,594 10,500 15,808 12,000
Planning 29,555 41,611 30,864 42,040
Government Buildings 23,591 21,769 30,673 77,352
Community Promotion 5,468 4,980 6,294 13,100
Elections 1,081 448 1,490
Other Non-Departmental 34,841 40,445 48,129 98,342
Civil Defense 4,957 7,590 7,l06 8,602
Building Regulation 41,432 44,825 44,309 45,286
Police 139,755 174,401 174,030 205,624
Fire 80,045 92,449 87,506 110,643
Public Works Administration 24,908 38,092 35,758 33,377
Waste Collection 31,596 35,400 35,212 34,600
Sanitary Sewers
Street Construction 110,202 169,015 196,471 103,400
Street Maintenance 51,984 84,644 86,751 96,354
Park Facilities 8,948 10,009 10,618 9,999
Recreation 12,130 15,805 16,658 17,705
TOTALS $665,200 $862.793 $905,177* S99ó,57j
* NOTE:
I,
Due to conversion from cash to accrual basis accounting, with!!
13 month expenditures recorded in 1966-67 for several !:
accounts, and certain other approved projects accrued in 'I
1966-67 rather than re-budgeted or carried over to the new I
fiscal year, total estimated cost for 1966-67 exceeds the
amount that would have been shown under the former cash I
system. Under the former system, expenditures for 1966-67 Ii
would have been estimated at $820,154. Accrual accounting _I
records expenditures during that year in which such expendi-
tures were actually appropriated or committed. Expenditures i
can therefore be properly matched with revenues for any given,
fiscal year. i
==~~c~----,c=c~c=====, CITY OF TUSTIN, CALIFORNIA ==-'----ló----==-
i
11___~_~c----- -
ACTIVITY
ANNUAL
BUDGET
City of Tustin
(DEPARTMENTAL)
STRUCTURE
General Government
1000
1100
1200
1300
1400
1500
1600
1800
City Council
City Administrator Office
City Clerk Office
Finance Office
City Treasurer
City Attorney
Planning
Government Buildings
Non-Departmental
2000
2100
2300
Community Promotion
Elections
Other Non-Departmental
Public Safety
3000
3200
3400
3500
Civil Defense
Building Regulation
Police
Fire
Public Works
4000
4200
4300
5000
5600
Public Works Administration
tvaste Collection
Sanitary Sewers
Street Construction
Street Maintenance
Parks and Recreation
8100
8200
Park Facilities
Recreation
-~. CITY OF TUSTIN, CALIFORNIA -
17
----------~-------- - ANNUAL BUDGET ~- ,---- -----l
I
I
DISTRIBUTION
II
II
I:
II
I.
II
!I
II
it
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II
II
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BY
ACTIVITY
CITY OF TUSTIN. CALIFORNIA, =~-----~--~=~=J
-~.---- -~-- _.-- ------
nun-
ANNUAL
BUD GET --~------====---===c
---_u~------_u_- -~-~------
ACCOUNT
SERIES
1000
ACTIVITY
City Council
~------~
_u_--- - - ---~-~
DESCRIPTION OF FUNCTIONS
The City Council, elected by the people and composed
of five members, is the legislative and policy-making
body of the City. The Mayor is appointed as the
presiding officer by a majority vote of the Council.
The City Council also appoints all commissioners and
City employees. The Council is responsible for the
appropriation of City funds and the authorization of
expenditures.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES. . $ 1,500 $ 9,000 $ 9,000 $ 9,000
NON-PERSONAL EXPENSES. . . 4,482 1,615 1,570 1,837
EQUIPMENT OUTLAY. .
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY. . . $ 5,982 $10,615 $10,570 $10,837
FUND DISTRIBUTION
Classification
1967-68
Budget
$10,837
GENERAL FUND. . . . . . . . . . . . .
. . . .
TRAFFIC SAFETY FUND
................
SPECIAL GAS TAX FUND. . . . . .
. . . .
MOTOR VEHICLE LICENSE FUND. . . . . . . . . . . . . . . .
SEWER MAIN TRUNK FUND
,..............
TOTAL FUNDS
.......................
$10,837
II
CITY OF TUSTIN, CALIFORNIA =~==~~=~~ - ----~-___==_I
18
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II
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II
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II
II
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---====- ----_._._~---- ANN U A L
BUDGET
- _c- -- ----¡I
ACCOUNT _.1000---11
S~RIE$__- - ---~I
-----.--- ------
ACTIVITY
City Council
--- ------.
~-------------
ACCOUNT DISTRIBUTION
1965-66 1966-67 1966-67 1967-68
Description Actual Budget Estimate Budget
PERSONNEL (& Monthly Rate):
1001 Councilmen 5(25) 5 (150 5 (150) 5 (150)
TOTAL POSITIONS 5 5 5 5
NON-PERSONAL EXPENSES:
1043 Special Uniform Exp. $ 176 $ $ $
1048 Special Expense Reimb. 2,500
1049 Sundry 17
1051 Travel & Meeting Expense 1,790 1,600 1,538 1,822
1073 Memberships 16 15 15 15
TOTAL EXPENSES $ 4,482 $ 1,615 $ 1,570 $ 1,837
EQUIPMENT OUTLAY:
None
CAPITAL IMPROVEMENTS:
None
COMMENTARY
1001
Salaries and wages for the City Council as authorized under
State law.
1048
1051
Attendance by the City Council at various local and out-of-town
meetings and conferences in connection with City activities.
Annual memberships in local organizations as required.
Reimbursement of expenses incurred by members of the City
Council in conducting Council business and related public matters¡
!
I
I
I
II
I
I
I
II
--~~CITY OF TUSTIN, CALIFORNIA -~c~~~~,~,J
19
Items not charged to other accounts.
1049
1073
- - ANNUAL
BUD GET ==cc=-~-==co=,=====--- - -
==C- -~-~~---==-~--_c- - - --
Ii
ACCOUNT -1100--1,1
SERIES
---II
II
DESCRIPTION OF FUNCTIONS II
'::'he City Administrator is the chief administrative officer III
o~ the City and is responsible for municipal activities in I
ac~ordance with Council policies and ordinances, State law, I
an¿ other regulations. He advises the Council on the finan-
cia~ conditions and needs of the City, and makes recommenda-
tion~ to the Council on City affairs. The City Administrator
also ~erves as the Personnel Officer, Purchasing Agent, and
Financ9 Officer.
_u_-
-- - ~---- --------- ~-
---Ac-rïVITY---city -Administrator Office
EXPENDITURES
).965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES. . . . . $13,467 $19,348 $20,854 $22,773
NON-PERSONAL EXPENSES. . . ),,594 1,365 2,046 1,900
EQUIPMENT OUTLAY . . . . . 411
CAPITAL IMPROVEMENTS ..---
TOTAL ACTIVITY . . . $15,061 $20,713 $23,311 $24.673
FUND DISTRIBUTION
Classification
1967-68
Budget
GENERAL FUND. . . . . . . . . . .
. . . . . . .$24,673
I
I
Ii
'I
I
TRAFFIC SAFETY FUND
...........
SPECIAL GAS TAX FUND. . . , . . . . . . , . . . . . . . . .
MOTOR VEHICLE LICENSE FUND
...........
SEWER MAIN TRUNK FUND
. . . . .
...........
TOTAL FUNDS
..........,........
. .$24,673
I
1==----- -- --===~~== CITY OF TUSTIN, CALIFORNIA
20
-~-----
- -----------~
ANNUAL
BUDGET
----------- - -
ACTIVITY
City Administrator Office
I ACCOUNT 1l00
SERIES
------
------
-----------
------ - -------_u_--~------~------
ACCOUNT DISTRIBUTION
Description
1965-66
Actual
1966-67
Estimate
1966-67
Budget
--
PERSONNEL (& Range Number):
1101 City Administrator 1 (1200)
1101 Secretary
llOl Administrative Secretary
1 (1200)
1 (6)
1 (1350)
1 (6)
TOTAL POSITIONS
1
2
2
1102 Overtime
$
$
$
NON-PERSONAL EXPENSES:
1143 Special Uniform Exp.
1149 Sundry
1151 Travel & Meeting Exp.
1173 Memberships
TOTAL EXPENSES
$
42
$
$
1,315
50
$ 1,365
15
1,981
50
$ 2,046
1,510
42
$ 1,594
EQUIPMENT OUTLAY:
1185 Office Equipment
$
$
$
411
CAPITAL IMPROVEMENTS:
None
$
II
"
Ii
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1967-68 ii
Budget 'i
II
1 (1350) II
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II
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,
!
75
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_J
CALIFORNIA ===_o==-~=-
21'
. 'CITY OF TUSTIN.
1 (10)
2
$
1,830
70
$ 1,900
$
--- --- ------
,-~~------ ----------
ANNUAL
BUDGET
ACCOUNT -- ----I'
SERIES 1l00
ACTIVITY
1l0l
1l02
1149
1151
1173
1185
City Administrator Office
COMMENTARY
New programs or the completion of existing projects
during 1967-68 will include or concentrate on:
economic development and community promotion activities;
furthering City annexation efforts; completion of a
long range capital improvement program; site acquisition
for a civic center, fire station, and public works corp-
orate yard; further strengthening of internal financial
controls and work-performance standards; and the possible
additional use of automated data processing.
The position of Secretary is reclassified to Administrative
Secretary as recommended by the classification study by
Griffenhagen-Kroeger, Inc., and salary increased to the
recommended range.
Overtime for Administrative Secretary position.
Items not charged to other accounts,
Provides for mileage reimbursement and attendance at various
meetings and conferences throughout the year.
Annual memberships in various professional and governmental
organizations are included in this account.
Office equipment for Administrative Secretary.
CITY OF TUSTIN, CALIFORNI/\
22
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II
- II
II
II
- II
i
-- il
ANN U A L BUD GET ==--=-=c==-=--- -~~-~~~~JI
I A~f3~SNT__1.~00_-}
---------
-~---- -
ACTIVITY
City Clerk office
DESCRIPTION OF FUNCTIONS
The City Clerk is an elected position and is entrusted
with the corporate seal, papers, records, and other
official City documents as required by law. The
Clerk also acts as Secretary to the City Council and
keeps the proceedings of the Council, including all
ordinances and resolutions.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classïfication Actual Budqet Estimate Budqet
PERSONAL SERVICES. . $18,708 $13,202 $13,154 $17,775
NON-PERSONAL EXPENSES. . . 8,491 10,565 14,905 13,960
EQUIPMENT OUTLAY. . 482 520 743 459
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY . . . . . . $27,681 $24,287 $28,802 $32,194
FUND DISTRIBUTION
Classification
1967-68
Budget
GENERAL FUND. . . . . . . . . . . . . . . . . . . .
.$32,194
TRAFFIC SAFETY FUND
.............
. . . .
SPECIAL GAS TAX FUND
...........
MOTOR VEHICLE LICENSE FUND
. . . .
. . . .
SEWER MAIN TRUNK FUND
.....
. . . .
. . . .
TOTAL FUNDS
. . . . . . . . . . . . . . . . . . . . . . . .$32,194
--~- -- --_u_------~=~ CITY OF TUSTIN, CALIFORNIA-c cec_-
23
--cc_-,--c=:-=-=,-c=--,-,-,=~-,--~-o--== ANN U A L BUD GET =c--=:----~---
1-- __n______-~--------- -
I ACCOUNT
I ACTIVITY City Clerk Office SERIES
1 ------------------~---------- -- - --
Description
PERSONNEL (& Range Number):
1201
1201
1201
1201
1201
1201
City Clerk
Office Supervisor
Deputy City Clerk
Secretary
Intermediate Typist
Typist Clerk
TOTAL POSITIONS
1202 Overtime
NON-PERSONAL EXPENSES:
1211 Salary Survey
Annexations
1212 Filing Consultant
1231 Office Supplies
1232 Postage
1234 Office Equipment Maint.
1235 Office Equip. Rental
1236 Printing
1241 Departmental Supplies
1249 Sundry
1251 Travel & Meeting Exp.
1271 Legal Advertising
1272 Recruitment Expense
1273 Memberships
TOTAL EXPENSES
EQUIPMENT OUTLAY:
1285
Office Equipment
SAPITAL IMPROVEMENTS:
None
1200
ACCOUNT DISTRIBUTION
1965-66
Actual
1966-67
Budget
1966-67
Estimate
1967-68
Budget
'1 (150)
1 (6)
1 (6)
1 (6)
1 (2)
1 (150)
1 (8)
1 (6)
1 (150)
1 (8)
1 (6)
1 (150)
1 (11)
1 (9)
~ (6)
5
3
3
3~
$ ----
$ ----
$
1
$
50
$ ---- $ ---- $ 1,400 $
1,500 1,020 1,050
1,355 1,400 1,537 1,600
550 650 634 650
92 100 173 50
2,138 2,150 3,575 5,150
586 1,100 792 700
180 130 212 200
571 200 711 200
116 165 189 250
2,673 3,000 4,546 4,000
215 150 96 75
15 20 20 35
$ 8,491 $10,565 $14,905 $13,960
$
$
482
$
520
743
$
459
CITY OF ïUSTIN, CALlFOR;\lIA
24
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-- - --------------- --
--_c_----~---~----
ACTIVITY
1201
1201
1211
1212
1231
1232
1234
1235
1236
1241
1249
1251
1271
ANNUAL
BUDGET
----------
- -------------
ACCOUNT
SERIES- 1200
-- _____n______--
City Clerk Office
----------
---~---- --------~----
COMMENTARY
During 1967-68, the City Clerk will continue to maintain
responsibility for general clerical activities in City
Hall, the maintenance of Council agenda and records, and
the retention of legal publications. These activities
will include the conduct of a City election in April 1968.
The position of Secretary is reclassified to Intermediate
Typist, transferred from Public Works Administration, and
budgeted one-half time between the City Clerk's Office and
the Police Department,
Based on the salary survey of positions in Southern California,
an increase in the ranges for Office Supervisor, Deputy
City Clerk, and Intermediate Typist is bud?eted.
Provides for salary survey and job classification study
conducted through outside contract.
A records and file system consultant is again budgeted to
assist the City in a program for major revision of all depart-
mental record keeping and retention procedures.
General office and clerical supplies.
Mail-out of general administrative and clerical matters.
Provides funds for maintenance on typewriters and other
equipment as may be required.
Annual rental for postage machine and duplicator.
Printing of various forms and documents used in general
administration.
The purchase of special supplies including minute and
resolution books and state publications as required.
Supplies not budgeted in other expenditure accounts are
classified as sundry.
Provides for attendance of the City Clerk to represent the
City at various meetings throughout the year.
Legal publication of notices, ordinances, and other actions
as required by law.
-_c= CITY OF TUSTIN, CALIFORNIA '=-=====c=,ccc=-~n-2r=~=='-
-I'
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II
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-----~-----~--~----- -----
--~-----
ANNUAL
BUDGET
- --=-__~'=~I
ACCOUNT- 1200 II
SERIES .
- - -- --------- -I
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II
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~---~~----
-- ___n -
ACTIVITY
City Clerk Office
--------- ~-
---~--~ ---------
1272
Publication of advertisements for position vacancies which
may occur in the City service.
1273
Annual memberships in certain professional organizations.
1285
Provides for purchase of an electric typewriter to replace
a unit no longer economically repairable.
- -- CITY OF TUSTIN,
II
II
,1
II
II
II
II
I!
__.II
CALIFORNIA ===c----~---"==,-----
26
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- --- -----_u ---_u~-----
------~-
--~--~-
1-
- ANNUAL
BUDGET
I ACCOUNT
SERIES
ACTIVITY
Finance Office
u ------ -----
--------------
DESCRIPTION OF FUNCTIONS
The Finance Officer (City Administrator) is the
chief fiscal officer of the City and is responsible
for establishing accounting procedures, maintaining
fiscal records, preparing revenue estimates, controlling
expenditures, and performing related duties.
EXPENDITURES
Classification
1965-66 1966-67 1966-67 1967-68
Actual Budget Estimate Budget
$ 4,578 $13,838 $13,055 $16,156
1,811 1,540 2,516 2,120
265 288 685
PERSONAL SERVICES. . . , .
NON-PERSONAL EXPENSES. . .
EQUIPMENT OUTLAY. .
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY. . .
$ 6,389
$18,961
$15,643
$15,859
FUND DISTRIBUTION
Classification
1967-68
Budget
. . . . . . . . . . . . .$18,961
GENERAL FUND.
. . . .
TRAFFIC SAFETY FUND
...............,....
SPECIAL GAS TAX FUND. . . . . . . . . . . . . . . . . . . .
MOTOR VEHICLE LICENSE FUND. . . . . . . , . . . . , . . . .
SEWER MAIN TRUNK FUND, . , . . . . . . . . . . . . . . . . .
TOTAL FUNDS. . . . . . . . . . . . . . . . .
. . . . .$18,961
I'
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11
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II
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CITY OF TUSTIN, CALIFORNIA o~--~~- - --- J
27
- - u_----¡,
ACCOUNT 1300-11
SERIES ---~--- -- -I
I
i:
II
!
---- ---- ------ ----
-- --- ----- ---
ANNUAL
BUDGET
---~-- ~
------- n
ACTIVITY
Finance Office
------ --
ACCOUNT DISTRIBUTION
1965-66 1966-67 1966-67 1967-68
Description Actual Budget Estimate Budget
PERSONNEL (& Range Number):
1301 Finance Analyst 1 (19) 1 (19) 1 (20)
1301 Account Clerk 1 (5) 1 (5) 1 (5) 1 (8)
TOTAL POSITIONS 1 2 2 2
NON-PERSONAL EXPENSES:
1311 Financial Consultant $ 250 $ $ 500 $
1313 Payroll Accounting 937 950 1,059 1,400
1341 Departmental Supplies 614 175 416 220
1349 Sundry 50
1351 Travel & Meeting Exp. 10 415 491 450
1373 Memberships 50
TOTAL EXPENSES $ 1,811 $ 1,540 $ 2,516 $ 2,120
EQUIPMENT OUTLAY:
1385
Office Equipment
$
$
$
265
$
288
685
CAPITAL IMPROVEMENTS:
None
COMMENTARY
For 1967-68, the Finance Office will continue to assist on
financial and budget matters and in the preparation of special
studies and reports. Of particular importance will be the
coordination of the Civic Center Project under the direction
of the City Administrator, In addition, City departments will
be assisted by the Finance Analyst in the establishment of
internal management accounting systems.
i
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1301 An increase in the ranges for Finance Analyst and Account Clerk
~;o~~~~~t~~c~s a result of the salary survey by G~~~fe~~:~~n- ___II
~~--~--~===c CITY OF TUSTIN. CALIFORNIA ~--~~~~ 28
ANNUAL
BUDGET ==
-_u- - u----
----- --~----
ACTIVITY
---- -~ -
--~------
------
Finance Office
A~t~gNT____~300
1311
1313
1341
1349
1351
1373
1385
Consultation regarding revised accounting procedures in
connection with entry in Municipal Accounting Award competition.
Automatic machine processing of City payroll by outside
contract for the fiscal year.
Includes the cost of special accounting forms and other
supplies required in this activity.
Items not charged to other accounts.
Provides for mileage reimbursement and attendance at various
meetings and conferences throughout the year.
Annual memberships in professional organizations.
Provides for the purchase of a calculator for use by all
departments.
----~ CITY OF TUSTIN, CALIFORNIA =
29
- ---- ----------
--------------
__----7'-~"--,
I
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-)
------ ~-- --- -
--------------
ANN U A_~ B~~ GET - -- ---Ã~f¡gNf--- 14o:l
--------- --~--~-
ACTIVITY
City Treasurer
DESCRIPTION OF FUNCTIONS
The City Treasurer is responsible for the receipt and
custody of City funds; together with the City Admin-
istrator, the disbursement of funds; the investment
of surplus funds; and is designated to act as trustee
for the bondholders of bonds issued in connection with
special assessment projects.
EXPENDITURES
Classification
1965-66
Actual
1966-67
Budget
1966-67
Estimate
1967-68
Budget
PERSONAL SERVICES. .
$
$
$
$
NON-PERSONAL EXPENSES. . ,
EQUIPMENT OUTLAY. .
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY. . . . . .
$
$
$
$
FUND DISTRIBUTION
Classification
1967-68
Budget
GENERAL FUND. . . . . . . . . . . . . . . .
. . . . .$
TRAFFIC SAFETY FUND
.................
SPECIAL GAS TAX FUND. . . . , . . . . . . . .
. . . ,
MOTOR VEHICLE LICENSE FUND. . . . . . . . . . . . . . . . .
SEWER MAIN TRUNK FUND. . . . . . . . . , . .
. . . . .
I
-- I
-- I
TOTAL FUNDS. . , , . . . .
..............$
=~--~----~-~ CITY OF TUSTIN, CALIFORNIA
30
1----- - - _m __ANNU~BU:GET-~-~_=--~-~~~
I--ACTMTY~~_~!~-~ Treasurer -~-- ! A~r&~NT__~_o~___1
r-
ACCOUNT DISTRIBUTION
Description
1965-66
Actual
1966-67
Budget
1966-67
Estimate
1967-68
Budget
PERSONNEL (& Monthly Rate):
1401
City Treasurer
NON-PERSONAL EXPENSES:
None
EQUIPMENT OUTLAY:
None
CAPITAL IMPROVEMENTS:
None
COMMENTARY
1401
The position of City Treasurer was combined with the Office
of the City Clerk, beginning July 1,1965.
CITY OF TUSTIN, CALIFORNIA =.
31
------_u---- ----- - ANNUAL BUDGET ------==[1
~AC-Tì\ITY -c-i~y -Attorney--~-~-_u_-- _n_- -1--Ä~~8MNT~=-1500 -- I
----
DESCRIPTION OF FUNCTIONS
The City Attorney is the legal counsel for the
City and advises on contracts, legislation and
other City actions. The County District Attorney
serves as City Prosecutor in the adjudication of
violators of City ordinances.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES. . $ 2,300 $ 2,400 $ 2,400 $ 2,400
NON-PERSONAL EXPENSES. . . 7,294 8,100 13 ,408 9,600
EQUIPMENT OUTLAY. .
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY . . . $ 9,594 $10,500 $15,808 $12,000
FUND DISTRIBUTION
Classification
1967-68
Budget
GENERAL FUND.
""""'.,.........$12,000
TRAFFIC SAFETY FUND
................,
SPECIAL GAS TAX FUND. . . . . . .
. . . . . . .
MOTOR VEHICLE LICENSE FUND
. . . . . . , ,
SEWER MAIN TRUNK FUND
..........
TOTAL FUNDS
. . . . . . , . . . . . . . . . . . . , . . . .$l2,000
CITY OF TUSTIN, CALIFORNIA .-._~---
32
--- - -- - - - - - - -- -- --- -
------ ---------- ----
I
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II
II
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----_.~=c_,o_~=~ ANN U A L BUD GET =.~--==~=
II ~--~-----------------_._-_._----~.._--
II ACTIVITy__~i ty ~~torney
._,~=_. ----, I
------_._---_.._. --
I -ÄccÖÜN--r-150Ò--
I SERIES ._-~-----
ACCOUNT DISTRIBUTION
Description
1965-66 1966-67 1966-67 1967-68
Actual Budget Estimate Budget
1(200) 1 (200) 1 (200) 1 (200)
1 1 1 1
PERSONNEL (& Monthly Rate):
1501
City Attorney
TOTAL POSITIONS
NON-PERSONAL EXPENSES:
1511
1512
15l5
Legal Fees (City
Attorney)
Legal Fees (Others)
Codification
TOTAL EXPENSES
$ 7,500
$12,808
$ 9,000
$ 6,508
500
286
$ 7,294
600
$ 8,100
600
$13,408
600
$ 9,600
EQUIPMENT OUTLAY:
None
CAPITAL IMPROVEMENTS:
1501
1511
1512
1515
None
COMMENTARY
Normal legal services of the City Attorney.
Extraordinary services by the City Attorney, including
right-of-way condemnation proceedings, obtaining court
orders, and representing the City in court.
Legal services performed for the City by other than the City
Attorney.
Annual codification of the City's adopted ordinances is
performed by outside contract.
- ----~ CITY OF TUSTIN, CALIFORNIA
I
.. .~-._-=.,=~==.=._=JI
33
ANNUAL
BUDGET
-~--~--~ ~--------~--
- ~-~-~ -~---~
1-
- -----~--
ACCOUNT 1600
SERIES ---------
-- -- ---
Planning
ACTIVITY
DESCRIPTION OF FUNCTIONS
The Planning Department is responsible for the
preparation of a comprehensive General Plan for
the long-range development of the City; variances
and special use permits; and making recommendations
to the Planning Commission and City Council regarding
planning matters.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES, , $18,515 $26,116 $20,763 $28,370
NON-PERSONAL EXPENSES. , . 10,577 15,245 9,747 13,128
EQUIPMENT OUTLAY . . 463 250 354 542
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY . . . $29,555 $41,611 $30,864 $42,040
FUND DISTRIBUTION
Classification
1967-68
Budget
. _$42,040
GENERAL FUND. . . . . . . . . . . . , . . .
TRAFFIC SAFETY FUND. .
. . . . . . . . .
SPECIAL GAS TAX FUND
. . . . . . . . . .
MOTOR VEHICLE LICENSE FUND
. . . . . . .
SEWER MAIN TRUNK FUND
...............
TOTAL FUNDS
$42,040
................
. . . .
I
I
I -----
= CITY OF TUSTIN, CALIFORNIA =~=~c==~c~~~~34c~~~=cc
,I
II
II
II
II
i
I
I
._J
ANN U A L BUD GET =-~_.~~~--~~~-----I
______n~~~- --] A1rÆ?gNT_____16_0~1
----------------
11- ___n___-----
I-ACTIVITY ----Planning
I -
ACCOUNT DISTRIBUTION
1965-66 1966-67 1966-67 1967-68
Description Actual Budget Estimate Budget
PERSONNEL (&Range Number):
1601 Planning Director 1 (20) 1 (21) 1 (21) 1 (22)
1601 Assistant Planner 1 (15) 1 (15) 1 (15) 1 (16)
1601 Draftsman ~(9) ~(9) ~2 (11)
1601 Secretary 1 (6) 1 (6) 1" (6)
1601 Sr. Stenographer Clerk 1 (9)
TOTAL POSITIONS 3 3~ 3!o:¡ 3!:í
1602 Overtime $ 320 $ 690 $ 100 $ 300
NON-PERSONAL EXPENSES:
1611 Planning Consultant $ 4,172 $ 4,500 $ 4,237 $ 4,500
1612 Secretarial Service 1,649
l624 Utilities 235
1631 Office Supplies 759 750 378 500
1632 Postage 201 250 101 150
1634 Office Equip. Maint. 66 100 95 50
1636 Printing 486 5,100 879 3,790
1641 Departmental Supplies 365 610 478 400
1648 Special Expense Reimb. 1,382 1,740 1,885 1,740
1649 Sundry 18 50 50
1651 Travel & Meeting Expense 1,085 1,845 1,336 1,600
1673 Memberships 135 150 157 180
1674 Publications 24 150 151 218
TOTAL EXPENSES $10,577 $15,245 $ 9,747 $13,128
EQUIPMENT OUTLAY:
1685 Office Equipment $ 463 $ $ $ 312
1686 Special Equipment 250 354 230
TOTAL EQUIPMENT $ 463 $ 250 $ 354 $ 542
CAPITAL IMPROVEMENTS:
None
I
CITY OF TUSTIN, CALIFORNIA ==,_c==c,-,='c,-,-cc-'--'=55='=c~=,,=c=-,~,~_cc_'
ANN U A L BUD GET =-======------=,-- c- =
-~~ ~__n - _í -A~rf,~s NT =-_160~J
n ~ ~~ - ~ - n
~ n~~- n ~ ___n~_~__n_n
ACTIVITY
1601
1601
1601
1602
1611
1612
1624
1631
1632
1634
1636
1641
Planning
COMMENTARY
Current Planning projects during 1967-68 are expected to
be similar in scope and volume to those of 1966-67. This
will include such activities as zoning administration and
ordinance revisions. Advance Planning projects will in-
clude the completion of implementation studies for the
South Tustin Area and Town Center Area as part of the
General Plan. In addition, the department anticipates
the completion of a revised Zoning Ordinance during the
fiscal year. The revised Ordinance will result in more
effective zoning administration through the simplification
of many of the current provisions.
Based on the salary survey by Griffenhagen-Kroeger, Inc.,
an increase in the ranges for Planning Director, Assistant
Planner, Senior Stenographer Clerk, and Draftsman is budgeted.
One position of Draftsman is budgeted half-time in this
department and in Public Works Administration to develop
graphic layouts, prepare maps, and perform other engineering
and planning drafting.
The position of Secretary is reclassified to Senior StenograPhei'
Clerk as recommended by the Griffenhagen-Kroeger, Inc.
classification study.
I
I
Overtime for all Planning positions,
A consultant is employed to assist the Planning staff in the
overall development of the General Plan.
Secretarial assistance was required in 1965-66 while the
permanent position was vacant.
Gas and electric service budgeted in Department 1800 beginning I
July 1,1966.
General office supplies and materials.
Mail-out of Planning matters.
Maintenance of office machines as required during 1967-68.
Printing of the revised zoning Ordinance, apartment survey,
Town Center Plan, and other publications are included in this
account.
Vdrious supplies including lettering templates and other
materials.
CITY OF TUSTIN, CALIFORNIA
36
cc==-'==_C===----------- ANN U A L
I=~____---------- - -~
I ACTIVITY
BUDGET ==----- .-.-=.-_.--.---=
-~ - --- - A~1'ftéJl¡i~- l~~O J
Planning
1648
1649
1651
1673
1674
1685
1686
Reimbursement of expenses incurred by members of the Planning
Commission in conducting planning business and related matters.
Items not specifically charged to other accounts.
Provides for mileage reimbursement and the attendance of the
Planning Commission and Planning staff to represent the City
at various meetings anà conferences throughout the year.
Annual memberships in various professional organizations.
Paid subscriptions and publications related to Planning.
Provides for the purchase of a filing cabinet, map file, and
map storage bin,
A po~table overhead projector is budgeted to be used in
pr~sentations to the Council and Planning Commission.
- - - --~----_____JI
-~.- CITY OF TUSTIN, CALIFORNIA =.- ------------
37
I
I
I
I
II
I
II
il
II
- II
II
il
-~--~~=~~_-=C_~=2===CC'==------ ANN U A L BUD GET -~~-~ - -------- - ---- -,
----------~---~---------~-
ACTIVITY Government Buildings A~~8~$~T_~~_-
------ -----------------
DESCRIPTION OF FUNCTIONS
The cost of operating the City Hall, and utilities,
telephone, and custodial charges not distributed
to other departments are incurred in this account
series.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES . , . . . $ 3,949 $ 5,574 $ 6,655 $ 5,552
NON-PERSONAL EXPENSES 9,603 5,550 7,628 6,800
EQUIPMENT OUTLAY . . . . . 645 658
CAPITAL IMPROVEMENTS 10,039 10,000 15,732 65,000
TOTAL ACTIVITY. . . . $23,591 $21,769 $30,673 $77,352
FUND DISTRIBUTION
Classification
1967-68
Budget
$77,352
GENERAL FUND. . . . .
. . . . . . . . . . . .
TRAFFIC SAFETY FUND. . . . . . . . . . . . . .
SPECIAL GAS TAX FUND. . . .
.,.......
MOTOR VEHICLE LICENSE FUND
. . . . , . . . . .
SEWER MAIN TRUNK FUND
. . . . . . . . . . . . . . ,
TOTAL FUNDS
. . , . . .
$77,352
. . . . . . . .
I
I
--~ CITY OF TUSTIN, CALIFORNIA ====='~'-'=~='=':nF=c==-~-~c- ___'I
:CTI: G~=~~.nt Bnil:::s~~L_B U;G E T .. _IA~r8~NT-:':=1
-----~
ACCOUNT DISTRIBUTION
1965-66 1966-67 1966-67 1967-68
Description Actcal Budget Estimate Budget
PERSONNEL (& Range Number):
1801 Custodian 1 (7) 1 (6) 1 (6) 1 (9)
TOTAL POSITIONS 1 1 1 1
1802 Overtime $ 132 $ 360 $ l55 $ 360
NON-PERSONAL EXPENSES:
1811 Custodial Service $ 1,086 $ $ $
1821 Building Rental 1,626 75 600
1823 Build. Repair & Maint. 2,701 700 2,300 800
1824 Utilities 1,105 1,250 1,277 1,250
1833 Telephone 2,710 3,000 3,358 3,500
1841 Departmental Supplies 375 600 618 650
TOTAL EXPENSES $ 9,603 $ 5,550 $7,628 $ 6,800
EQUIPMENT OUTLAY:
1886
Special Equipment
$
$
645
$
658
$
CAPITAL IMPROVEMENTS:
1881
1882
Land Acquisition
Building Purchase
TOTAL IMPROVEMENTS
$
10,039
$10,039
$10,000
$ 675
15,057
$15,732
$65,000
$10,000
$65,000
--~---------=--- CITY OF TUSTIN, CALIFORNIA ====:c_~'c~~--~====='=-
1- --~---,:c=~--c=--~-----=-
ACTIVITY
1801
1821
1823
1824
1833
1841
1881
ANNUAL
BUD GET ==-'=--~~--..=C-C~--=---=---=-~'---"~'
--~-
-~~-----
Government Buildings
ACCOUNT 1800
SERIES _.~---
--------
COMMENTARY
The purchase of the structure at Second and "c" Streets will
result in a slight increase in operation and maintenance
costs for City buildings. The recommended budget increase
for telephone services is required by rate increases effective
January 1,1967.
Based on the salary survey by Griffenhagen-Kroeger, Inc., an
increase in the range for Custodian is budgeted.
Rental of building for City Council and various commission
meetings.
Minor repairs and modifications to City buildings as may be
~equired throughout the year.
Cost of gas, water, and electric service at City Hall.
Includes basic monthly charge and toll service of all
departments on the City Hall telephone number,
Purchase of janitorial and other miscellaneous supply items.
Reserve for initial option of additional Civic Center properties
is included in this account.
---- CITY OF TUSTIN, CALIFORNIA ==C._c, --~----~~=---_.
40
~- ---~- -----
------------~~-
ANNUAL
BUDGET ---
-~- --11
!~~r~~sNt~- 20~~0 --_J
--------------
--- ---------- --------
ACTIVITY
Community Promotion
- --- --~~----
DESCRIPTION OF FUNCTIONS
The promotion of the City is an important function
of municipal government and the cost of publications,
advertisements, and the support of civic organizations
are included in this activity,
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES . . $ $ $ ------ $
NON-PERSONAL EXPENSES 5,468 1,980 6,054 13,100
EQUIPMENT OUTLAY . . . . .
CAPITAL IMPROVEMENTS 3,000 240
TOTAL ACTIVITY. . . . $ 5,468 $ 4,980 $ 6,294 $13,100
FUND DISTRIBUTION
Classification
1967-68
Budget
$13,100
GENERAL FUND. . . . . . . . . . . . . . . . . . . . . . .
TRAFFIC SAFETY FUND. . . . .
. , . . . . . . . . . .
SPECIAL GAS TAX FUND. . . . . . . . . . , . . . . .
MOTOR VEHICLE LICENSE FUND. . . . .
. . . . .
SEWER MAIN TRUNK FUND
. . . . . , . . . . .
. . . .
TOTAL FUNDS
.......................
$13,100
- - CITY OF TUSTIN, CALIFORNIA =~~==
I
-~J
41
- - -- - -
I ------ ---
I_-
II ACTIVITY
ANNUAL
BUDGET
------~---------
------------------------ --
---------- - --- --- ---------
ACCOUNT
SERIES
2000
Community Promotion
ACCOUNT DISTRIBUTION
Description
1965-66
Actual
1967-68
Budget
1966-67
Budget
1966-67
Estimate
PERSONNEL:
None
NON-PERSONAL EXPENSES:
MelÌlberships
Publications
Contributions
Community Advertising
Sundry Activities
TOTAL EXPENSES
$
$
$
$
670
80
12,000
250
100
$13,100
542
40
4,451
213
222
$ 5,468
650
80
750
250
250
$ 1,980
667
5
4,247
641
494
$ 6,054
2073
2074
2075
2076
2079
EQUIPMENT OUTLAY:
None
2083
CAPITAL IMPROVEMENTS:
240
2073
2074
2075
2076
2079
2083
Entrance Signs
$ 3,000
$
$
COMMENTARY
Community promotion during 1967-68 will include advertising
in publications and financial support of the Tustin Chamber
of Commerce. In addition, the City will participate in
organizations such as the League of California Cities and
the Orange County branch of the League.
City membership in various governmental organizations including
the League of California Cities.
Various paid subscriptions for publications of City interest.
Contributions to civic organizations of City-wide benefit, which
may be made throughout the year.
Advertising in various publications of City-wide benefit.
Special meetings to be conducted throughout the County during
1967-68.
Expenditure in 1966-67 for City entrance signs on Fourth ,and
Seventeenth Streets.
CITY OF TUSTIN, CALIFORNI/\
42
-----------------
-~=,-~,c_----~-----~-~-----
--~- ANNUAL
BUDGET
----~
'1-- ---AccoÜNT-2lo0 I
, ___SERIES_____---
----
--- -- ___n--_--
ACTIVITY
Elections
-------------- ---~U --
DESCRIPTION OF FUNCTIONS
The cost of conducting a special municipal election
or including City elective offices and ballot prop-
ositions on State-wide primary or general elections
is included in this account series.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES . $ $ $ $
NON-PERSONAL EXPENSES 1,081 448 1,490
EQUIPMENT OUTLAY . . . .
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY . . . " $ l,081 $ $ 448 $ 1,490
FUND DISTRIBUTION
Classification
1967-68
Budget
GENERAL FUND.
.,.............
$ 1,490
TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . .
SPECIAL GAS TAX FUND. . . . . . . . . . . .
MOTOR VEHICLE LICENSE FUND
. . . . .
. . . .
SEWER MAIN TRUNK FUND
...........
TOTAL FUNDS
..........
,.....
$ 1,490
- CITY OF TUSTIN, CALIFORNIA =~~--~-~4j~=-=c==
-- - ----- - -- - - --
--- --------- --- ------
ACTIVITY
ANNUAL
- --- -_u_-
BUDGET ----~==cc---
-~--------
_~__n --
--------
--------- -I ACCOUNT
- j SERIES -- -~~-~--
--------
Elections
ACCOUNT DISTRIBUTION
Descriptions
1965-66
Actual
1967-68
Budget
1966-67
Budget
1966-67
Estimate
PERSONNEL:
None
NON-PERSONAL EXPENSES:
2111
2112
2121
2132
2141
Registrar of Voters
Election Officials
Polling Place Rent
Postage
Departmental Supplies
TOTAL EXPENSES
$
$
$
$
60
525
75
130
700
$ 1,490
375
30
114
562
$ 1,081
448
$
$
448
EQUIPMENT OUTLAY:
None
CAPITAL IMPROVEME~TS:
I
I
I
I
II
I
i
I
I
I
II
II
il
II
II
!i ------~---
------
None
COMMENTARY
A municipal election involving four City positions is
scheduled for April 9, 1968. Costs allocated will also
provide for any propositions placed on the ballot.
- CITY OF TUSTIN, CALIFORNIA =c=-'-=:=~===---44-========
u_---- ,---~.cc'-'--=~'==="-'--------~ ANNUAL BUDGET
II
rn~CTMTY~-- ~~-~-Non~~~pa~:e-n~~~-u .
ACCOUNT
SERIES
2300
DESCRIPTION OF FUNCTIONS
Expenditures under this account series apply
to all City activities and therefore are
classified as "Non-Departmental".
Classification
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Actual Budget Estimate Budget
$ $ $ $
34,841 40,445 48,129 98,342
PERSONAL SERVICES. .
NON-PERSONAL EXPENSES
EQUIPMENT OUTLAY
. . . . .
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY
......
$34,841
$40,445
$48,129
$98,342
FUND DISTRIBUTION
-
GENERAL FUND. . . . .
..............
1967-68
Budge1:
$98,342
Classification
TRAFFIC SAFETY FUND. . . . .
...........
SPECIAL GAS TAX FUND. . . . . . . , . . . . . . .
MOTOR VEHICLE LICENSE FUND. . . . . . . . .
SEWER MAIN TRUNK FUND
..............
TOTAL FUNDS
................
$98,342
CITY OF TUSTIN, CALIFORNIA ~ -
45
--~-- -. __----mn- -
-~ -------------~._-_._-
ANNUAL
BUDGET
1- A~r3~Nf--~;-
--. -..-- ---
----_u-
ACTIVITY
Other Non-Departmental
ACCOUNT DISTRIBUTION
1965-66 1966-67 1966-67 1967-68
Description Actual Budget Estimate Budget
---
PERSONNEL:
None
NON-PERSONAL EXPENSES:
2311 Auditing $ 2,240 $ 2,200 $ 2,200 $ 2,500
2312 General Insurance 17,054 17,200 23,282 23,500
2313 Health Insurance 1,614 6,200 5,333 6,650
2314 Retirement 10,354 14 ,000 16 ,117 64,000
2315 Special Census 2,166 220 637 255
2316 Surety Bonds 48 125 125 637
2317 Insurance Consultant 1,340
2348 Tuition Reimbursement 25 500 435 800
TOTAL EXPENSES $34,841 $40,445 $48,129 $98,342
EQUIPMENT OUTLAY:
None
CAPITAL IMPROVEMENTS:
None
I
- - CITY OF TUSTIN, CALIFORNIA ='7CC===C7--46~-------~====
I--~--=- ~~ ----
I ACTIVITY
I
2311
2312
2313
2314
2315
2316
2317
2348
ANNUAL
- --------- _II
ACCOUNT 2 300 II
SERIES I
I
I
II
II
I
BUD GET =-c-c~-==----,~,~-==----
----- -- -- ~---------
Qthe!:.....- :NQIl-=Dep(irtmen ta 1
COMMENTARY
A significant increase in this Department results from
city participation in the State Employees' Retirement
System beginning August 1st, and anticipated increases
in Workmen's Compensation rates during the year. No
change in Social Security contribution rates is expected.
An independent audit of the City's financial records each
quarter, and the preparation of certain State reports are
included in this account.
General liability insurance, State Compensation, and employee
life insurance coverage.
Contribution by the City for health insurance coverage of
employees, excluding dependents.
Coverage of employees in the Social Security System, and
the State Employees' Retirement System.
State special census requested in the 1968 calendar year to
permit the City to receive the maximum in State allocated
funds which are based on population.
Annual premium of surety bond covering the position of City
Treasurer. The premium for the blanket bond for City
coverage will also be paid during the fiscal year.
Insurance consultant employed during 1965-66 to revise the
City's total liability insurance program.
Reimbursement of portion of tuition fees of employees for
educational courses successfully completed, which relate to
performance on the job.
~=~~==~=~~=~== CITY OF TUSTIN, CALIFORNIA
47
II-~~~ --:iVi~ De::=
1----- ------~
ANNUAL
BUD GET -----c _c_-~_c~--='cc=c===c_,,==,--~-_c - --- --
_~__II
AqfÆl~SN T~Q 0 "--I,
I
I:
'I
II
II
I
--- - -------
-------- ---- -- --
DESCRIPTION OF FUNCTIONS
The functions of Civil Defense include disaster
planning, public information, and the coordina-
tion of emergency action in order to insure the
welfare of the public in the event of natural
or man-made disasters.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES . . $ 3,873 $ 4,695 $ 5,034 $ 5,982
NON-PERSONAL EXPENSES 1,084 2,570 1,866 2,620
EQUIPMENT OUTLAY , . . . . 325 206
CAPITAL IMPROVEMENTS . . .
TOTAL ACTIVITY. . . . $ 4,957 $ 7,590 $ 7,106 $ 8,602
FUND DISTRIBUTION
Classification
1967-68
Budget
$ 8,602
GENERAL FUND.
...............
TRAFFIC SAFETY FUND. . . . . . , . . . . . . . . .
SPECIAL GAS TAX FUND. . . . . . . , . , . . . . . . . .
~OTOR VEHICLE LICENSE FUDN . . . . . . . . . . . . . . . , .
SEWER MAIN TRUNK FUND
..............
TOTAL FUNDS
$ 8,602
.......,..............
==~==~---==C- ~~~-- CITY OF TUSTIN, CALIFORr~IA
48
I
II
II
II
I
I
I
¡
I
II
II
"
II
I:
¡I
II
II
II
Ii
II
II
Ii
II
II
I'
I----=~~~~~~~~ c~ ~ ~~: ~~L 8 U D GET ~ c~~~~~~~~
i ACTIVITY Civil Defense I ACCOUNT 3000
!I ___m______---- ----- SERIES
-~ __~!I
II
__~___n I
ACCOUNT DISTRIBUTION
1965-66 1966-67 1966-67 1967-68
Description Actual Budget Estimate Budget
PERSONNEL (& Salary Rate):
3001 Director Civil Defense 1 (15) 1 (16) 1 (16) 1 (16)
3003 Secretary C.D. 1 (1. 50) 1 (1. 50) 1 (1.50) 1 (1.76)
TOTAL POSITIONS 2 2 2 2
NON-PERSONAL EXPENSES:
3024 Utilities $ $ 270 $ l65 $ 270
3031 Office Supplies 61 500 402 500
3032 Postage 7 300 148 300
3033 Telephone 108
3036 Printing 33 300 177 350
3041 Departmental Supplies 217 400 183 400
3051 Travel' Meeting Exp. 638 750 769 750
3073 Memberships 20 50 22 50
TOTAL EXPENSES $ 1,084 $ 2,570 $ 1,866 $ 2,620
EQUIPMENT OU~LAY:
3085
3086
Offic~ Equipment
Speci~l Equipment
TOTAL EQUIPMENT
$
$
$
206
$
$
$
$
206
$
CAPITAL IMP~VEMENTS:
None
CITY OF TUSTIN, CALIFORNIA
49
---~-- ANNUAL
II-ACTIV;: -=-:i v i:::fenSe ~
'i----------~
3003
3024
3031
3032
3033
3036
3041
3051
3073
BUDGET
---
ACCOUNT
SERIES
3000
~-------- - -----~----
COMMENTARY
Civil Defense operations will continue at approximately the
same level as the previous fiscal year, This will include
mailing educational materials to homes, coordination of
Civil Defense activities with public and private schools.
In addition, the Departmentwill initiate a medical self-help
program among City employees and seek assistance from the
Fire Departments in the Tustin Area in Civil Defense educa-
tional activities.
A part-time Secretary at $1.76 per hour is included in
Personal Services.
Utilities budgeted for the Civil Defense office on "D" Street.
General office supplies and materials.
Mail-outs to the public, school districts, and other
organizations.
Telephone charges are now included in Department 1800.
Outside printing of various forms and stationery.
Special supplies including maps, overlay paper, batteries,
and medical supplies.
Provides for mileage reimbursement and the attendance of the
Director to represent the City at various meetings throughout
the year.
Annual memberships in various Civil Defense organizations.
~c_--~-~----------~=~c_=-= CITY OF TUSTIN, CALIFORNIA =
50
ANNUAL
BUDGET
ACCOUNT
SERIES
--------------- --- - .
ACTIVITY
Building Regulation
3200
DESCRIPTION OF FUNC~IONS
Building regulation services are necessary to insure that
all buildings and structures in the City, which exist or
are constructed, comply with minimum standards of safety
and sanitation. Such services include building, plumbing,
and electrical inspection; issuing permits; plan checking;
and the administration and enforcement of building, zoning,
signs, and related codes and ordinances.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES . . $37,775 $40,805 $39,624 $41,274
NON-PERSONAL EXPENSES 3,058 3,920 4,584 3,655
EQUIPMENT OUTLAY . . . . . 599 100 101 115
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY . . . . . . $41,432 $44,825 $44,309 $45,044
FUND DISTRIBUTION
GENERAL FUND.
..,...,.........."
1967-67
Budget
$45,044
Classification
TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . . . . .
SPECIAL GAS TAX FUND
. . . . . . . . .
. . . .
MOTOR VEHICLE LICENSE FUND
. . . . . .
. . . .
SEWER MAIN TRUNK FUND. . , . . . . . , , . . . . . . . . .
TOTAL FUNDS
.................,.....
$45,044
CiTY OF TUSTIN, CAliFORNIA
-=,c-=-_c_~===,=---~-----= ANN U A L BUD GET
¡-ACTIVITY - ----Buildi--';g~gulation -
I
--=c~=-=-=-'=----~--~~- ~--'li
I ACCOUNT 3200 II
: SERIES -- I
II
1967-68 I
Budget
ACCOUNT DISTRIBUTION
PERSONNEL (& Range Number):
Description
3201
3201
3201
3201
3201
Building Director
Plan Checker
Building Inspector
Secretary
Stenographer Clerk
TOTAL POSITIONS
NON-PERSONAL EXPENSES:
3211 Outside Plan Checking $
3212 Unsafe Bldg- Demolition
3224 Utilities
3231 Office Supplies
3232 Postage
3234 Office Equip. Maint.
3236 Printing
3241 Departmental Supplies
3249 Sundry
3251 ~ravel & Meeting Expense
3273 Memberships
3274 Publications
TOTAL EXPENSES
EQUIPMENT OUTLAY:
3285
3286
Office Equipment
Special Equipment
TOTAL EQUIPMENT
1965-66
Actual
1966-67
Budget
1966-67
Estimate
1 (19) 1 (20) 1 (20) 1 (20)
1 (16) 1 (16) 1 (16) 1 (16)
2 (15) 2 (l5) 2 (15) 2 (15)
1 (6) 1 (6) 1 (6)
1 (7)
5 5 5 5
I
I
II
II
I
I
I
I
I
I
I
II
I
I
II
CALIFORNIA ~,-~--,~~~,_c==~-=~-~---=~,- ----
52
254
117
38
320
98
68
2,033
no
20
$ 3,058
$
599
$
200
383
545
218
292
71
102
266
66
54
2,407
115
65
$ 4,584
$
$
101
$
400
260
175
40
50
350
140
85
2,470
85
65
$ 3,920
$
100
220
200
75
60
160
90
60
2,225
115
50
$ 3,655
$
115
115
CAPITAL IMPROVEMENTS:
None
$
599
-- CITY OF TUSTIN,
$
100
$
101
$
~=~,,=-c-"'=~-== ANNUAL
BUDGET
-------- ------------- --
-- -------- --------~---
A~~¡¡¡~SNT - -)icoj'
---- -II
I
I
I
I
I
II
I
II-ACTIVITY----=_-_~~~~-di ~~_~~~i~i~t io_n ---=---~-
,---
3201
3211
3212
3224
3231
3232
3234
3236
3241
3249
3251
3273
3274
3285
COMMENTARY
Building Department activities as reflected in fees
collected have shown a decline from 1965-66 ($55,195)
to 1966-67 ($30,000 estimated). In 1967-68, construction
is expected to increase above the 1966-67 level with
anticipated revenues of $40,000 resulting from building
permits, based on new construction on Irvine Ranch
property.
Based on the salary survey and classification study by
Griffenhagen-~roeger, Inc., the Secretary position is
reclassified ~s Stenographer Clerk, and budgeted at
Range 7.
Review and checking of major building plans by outside
contract are included in this account.
I'
il
II
II
II
II
II
II
!I
II
I:
II
I
I,
:i
II
I:
II
- Ii
Removal of condemned building from site. Amount expended
by City is recoverable from property owner.
Gas, electric, and water service.
General office supplies.
Mail-out of various building regulation matters.
Repair and maintenance of office machines.
Printing of permits and other forms.
Special supplies include film, tracing paper, and other itellio.
Items not covered by other specific accounts.
Mileage reimbursement and attendance at various meetings of
departmental personnel throughout the year.
Annual memberships in various building professional
organizations and associations.
One set of metal shelves is budgeted in this account for
technical publications,
Ii
\1
II
filing II
¡I
,I
II
Ii
_nil
Purchase of building, electrical, plumbing, and heating codes
and their supplements.
CITY OF TUSTIN, CALIFORNIA ~-~-,
53
BUD GET =--==--===--- - - - --
- -- --- ---_J
I A~rßgNT_3400-1
I
11
II
I
I
I
I
,- ---_..c.c~~C'-'-'_C-='-'Cc."-==---- ANN U A L
------
-----------------
ACTIVITY
Police
DESCRIPTION OF FUNCTIONS
Police services provide protection to life and
property and include traffic control, crime
prevention and repression, criminal apprehension,
crossing guards, and recovery of stolen and lost
property.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES , , . . . $119,534 $147,850 $144,644 $172,557
NON-PERSONAL EXPENSES 18,171 19,040 21,818 25,103
EQUIPMENT OUTLAY . . . , . 2,050 7,511 7,568 7,964
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY. . . . $139,755 $174,401 $174,030 $205,624
FUND DISTRIBUTION
Classification
':I::N:E:RAL FUND.
. . . .
.........
TRAFFIC SAFETY FUND. . . . . . . . . . . . . . . . .
SPECIAL GAS TAX FUND. . . , . . . . . . . . . . . . . . .
MOTOR VEHICLE LICENSE FUND. . . . .
........
SEWER MAIN TRUNK FUND. .
...........
TOTAL FUNDS
......
. . . .
.......
c_~===c===c-c== CITY OF TUSTIN, CALIFORI,\iA
1967-68
Budget
$142,124
63,500
$205,624
54
I
II
II
il
II
II
I
I
I
I
II
II
I
I
I
:I
II
II
II
II
Ii
Ii
II
II
1\
II
Ii
____II
n - --- - ----- - d - -- - -
-------------
- --- ANNUAL
BUDGET
--- ---- ----
ACTIVITY
Police
-------- - --
ACCOUNT DISTRIBUTION
----
I AcèoUNT
SERIE~
-------
-------
3400
1965-66 1966-67 1966-67 1967-68
Description Actual Budget Estimate Budget
PERSONNEL (& Range Number):
3401 Police Chief 1 (21) 1 (22) 1 (22) 1 (23)
3401 Police Lieutenant 1 (17) 1 (17) 1 (18)
3401 Police Sergeant 3 (15) 3 (16) 3 (16) 3 (17)
3401 Sergeant Investigator 1 (17)
3401 Police Investigator 2 (13) 2 (14) 2 (14) 2 (15)
3401 Policeman 5 (12) 7 (12) 7 (12) 7 (14)
3401 Policewoman 1 (7) 1 (8) 1 (8)
3401 Secretary ~ (6) ~(6)
3401 Intermediate Typist Clerk ---- ~ (6)
3401 Dispatcher Clerk 4 (5) 4 (5) 4 (5) 5 (8)
3403 Crossing Guard 3 (1. 65) 3 (1. 65) 3 (1.65) 3 (1. 75) I
TOTAL POSITIONS 19 22J.¡ 22J.¡ 23J.¡ I
I
3402 Overtime $ 8,448 $ 8,000 $12,026 $ 9,000
3404 Reserves 8,93l 6,000 4,015 6,000
NON-PERSONAL EXPENSES:
$
3411 County Jail
3412 Medical Examinations
3424 Utilities
3431 Office S~plies
3432 Postage
3433 Telephone
3434 Office Equip. Maint.
3436 Printing
3441 Departmantal Supplies
3443 Uniforrcs
3444 Specia: Equip. Maint.
3445 Special Equip. Rental
3449 SundrY
3451 Trave~ & Meeting Expense
3454 Vehicle Operation
3455 Vehicle Maintenance
3473 Memb~rships
TOTAL EXPENSES
858
1,401
131
1,560
168
435
1,339
1,245
136
402
656
167
3,883
5,550
240
$18,171
EQUIPMENT OUTLAY:
3484 Motor Vehicles
3485 Office Equipment
3486 Special Equipment
TOTAL EQUIPMENT
CAPITAL IMPROVEMENTS:
$
2,050
$ 2,050
None
$
300
200
960
1,400
185
1,680
200
250
1,600
2,000
300
330
300
215
4,800
4,000
320
$19,040
$ 6,240
l35
1,136
$ 7,511
-------~~=~~c= CITY OF TUSTIN, CALIFORNIA
$
300
569
1,503
1,419
266
2,072
200
601
1,598
2,147
300
330
300
209
5,351
4,333
320
$21,818
$
300
800
1,300
1,400
200
2,220
250
500
2,000
1,970
370
372
465
650
5,340
6,500
466
$25,103
i
I
I
i
1\
Ii
II
- ----- ~=~c~~ --_=-c~JI
$ 6,240
192
1,136
$ 7,568
$ 5,500
700
1,764
$ 7,964
~_5
~ --- ~~ --- - -~--~------~----
--- ------ - ---
ANNUAL
BUD GET --,,==c====-====-~~~-
I
I
A~r3~SNT_=_~-- ~~~~J
ACTIVITY
~ -- ---- ----
---~--- --- ------
-----
~------
----~~-------- --
3401
3401
3401
3401
3402
3404
3411
3412
3424
3431
3432
3433
3434
3436
3441
Police
COMMENTARY
One additional position is budgeted for 1967-68, a
Sergeant Investigator. This position will work in
Investigation which has experienced a particularly
heavy growth in workload. During the first three
months of 1967, fraudulent document cases had reached
47% of the total number of cases for 1966. Other
crimes, such as burglary and armed robbery, indicated
a 34% increase over the same period for 1966.
An increase in the ranges for all Police positions is
budgeted based on the salary survey by Griffenhagen-Kroeger, In .
One Police Sergeant Investigator position is budgeted to
alleviate the rapidly increasing workload of the Investi-
gation Division.
One Policewoman position is deleted and one Dispatcher-Clerk
position is added to better process incoming calls and
control of field units.
The Secretary positio~ budgeted at one-half time is reclassi-
fied to an Intermediate Typist Clerk position which will be
shared one-half time vith the City Clerk.
Overtime for regular personnel over normal duty hours.
Utilization of Police Reserves as required during the year.
Detention of persons violating City ordinances in the
Orange County Jail until sentenced by the courts.
City-wide (all departments) medical examinations for new
personnel,
Electric service for police and fire facilities.
General office supplies.
Mail-out of police matters.
Includes basic monthly charge and toll services.
Maintenance of a photo-copier, mimeograph machine, and
typewriters.
Printing of various forms and other records.
Special supplies include ammunition, badges, helmets, flares,
film, and other items.
-======~c=c CITY OF TUSTIN, CALIFORNIA
56
I
I
I
II
'i
Ii
il
il
Ii
II
Ii
[I
,I
II
II
II
II
Ii
Ii
Ii
~_I i
I! -----------
r--;'CTIVrry---- Police
~U_-- --- --
ANNUAL
BUD GET =--c====--===-~==c=--,-
-----
,----
-- ----------------~--
ACCOUNT
SERIES
3400
3443
3444
3445
3449
3451
3454
3455
3473
3484
3485
3486
Uniform replacement as required throughout the year.
Radio and radar maintenance costs.
Rental of a teletype receiv,.;r with direct wire to the
Orange County Communications Center.
Items not budgeted in other accounts.
Provides for attendance of departmental personnel to
represent the City at various meetings throughout the
year, and other expenses in connection with court
appearances and extradition.
Gasoline, oil, and lubrication of the eight budgeted
assigned vehicles.
Non-routine maintenance and upkeep of the assigned vehicles.
Annual memberships in various police organizations,
including annual firing range membership costs for each
employee.
Purchase of two new patrol vehicles to replace two units
approaching 80,000 mile use. One old unit will be traded
in, the other retained for the Investigation Division.
One electric typewriter, one filing cabinet, and minor
miscellaneous items are included for office equipment.
Special equipment includes two radios for patrol cars and
two replacement shotguns.
CITY OF TUSTIN, CALIFORNIA
I
II
"
I'
II
Ii
I
II
II
!I
II
Ii
II~n ~--~~--~--------
il ACTiVITY - - Jr_iE-=-
I
ANN U A L BUD GET ----==-====--==-==- -- ---ìl
I
---~-------.J
_____n___- ACCOUNT I
SERIES _3~_QO__---
------------- -----
DESCRIPTION OF FUNCTIONS
The Fire Department protects the public safety by fire
prevention inspections, public education, extinguishing
fires, and investigating fire causes. The program of
fire defense for the City is designed to provide
sufficient apparatus and trained personnel so distributed
as to insure both quick and effective response to a
fire alarm in order to reduce the loss of life and
property.
EXPENDI'l'URES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES. . $56,398 $73,386 $69,257 $ 91,887
NON-PERSONAL EXPENSES. . . 9,124 10,837 9,975 11,268
EQUIPMENT OUTLAY . . . . . 14,523 8,226 8,274 7,488
CAPITAL IMPROVEMENTS - ----
TOTAL ACTIVITY . . . . . . $80,045 $92,449 $87,506 $110,643
FUND DISTRIBUTION
Classification
1967-68
Budget
GENERAL FUND.
...................
$110,643
TRAFFIC SAFETY FUND
..,.............
SPECIAL GAS TAX FUND. . . . . . . . . . . . . . . , . . .
MOTOR VEHICLE LICENSE FUND
. . , . . . .
SEWER MAIN TRUNK FUND
..................
TOTAL FUNDS
. . . , . .
..............
$110,643
oc_c_=cc~=c_=~~~oo~== CITY OF TUSTIN, CAliFORNIA
58
------ _____m___-
----- - -------- --
ANNUAL
BUD GET =cc ==c,~~=-- ----.---.--------- -
Ii
A~~3~NT_=_~5~~__J
I
I
I
1967-68 I
Budget Ii
il
I
Fire
._---_.-~--
~-----------_.- - ------- -
-- --- ______n
ACTIVITY
ACCOUNT DISTRIBUTION
PERSONNEL (& Range Number):
Description
3501
3501
3501
3501
3501
3501
3501
3501
3503
Fire Chief
Asst. Fire Chief
Relief Commanding Ofc.
Fire Captain
Fire Engineer
Fireman
Secretary
Dispatcher Clerk
Fire Marshal
TOTAL POSITIONS
3502 Overtime
3504 Volunteer Firemen
NON-PERSONAL EXPENSES:
1965-66
Actual
1966-67
Budget
1966-67
Estimate
1 (20) 1 (21) 1 (21) 1 (22) i
1 (100) 1 (100) 1 (100) I
I
1 (125) II
2 (15) 2 (16) 2 (16) 2 (17)
1 (13) 2 (14) 2 (14) 2 (15)
2 (12) 4 (12) 4 (12) 4~(14)
1 (6) 1 (6)
1 (5) 1 (8)
1 (14) 1 (15) 1 (15) 1 (16)
9 12 12 l2~
$ 789 $ 1,000 $ 1,000 $ 1,000
1,962 2,000 2,000 3,000
3511 Hydrant Rental $ 2,712 $ 3,300 $ 3,300 $ 3,408
3524 Utilities 343 385 397 400
3531 Office Supplies 599 750 683 650
3532 Postage 57 85 30 75
3533 Telephone 701 780 821 850
3534 Office Equip. Maint. 38 25 25 15
3536 Printing 100 198 175
3541 Departmental Supplies 1,323 1,600 1,553 1,600
3542 Small Tools 163 100 100 100
3543 Uniforms 595 1,000 636 1,453
3544 Special Equip. Maint. 975 500 276 500
3549 Sundry 26 lOO 102 100
3551 Travel & Meeting Expense 216 300 235 230
3554 Vehicle Operation 591 800 700 800
3555 Vehicle Maintenance 307 600 705 700
3573 Memberships 107 62 54 62
3574 Publications 371 350 160 150
TOTAL EXPENSES $ 9,124 $10,837 $ 9,975 $11,268
II
II
II
II
II
I
I
I None
I '=-==-~~===~cc==-'
EQUIPMENT OUTLAY:
3584 Motor Vehicles
3586 Special Equipment
TOTAL EQUIPMENT
CAPITAL IMPROVEMENTS:
$
14,523
$14,523
$ 7,050
1,176
$ 8,226
$ 7,358
130
$ 7,488
$ 7,050
1,224
$ 8,274
CITY OF TUSTIN, CALIFORt'1IA
~-~-------- c_===-~--=cc=~=,-_cc== ANN U A L
BUDGET
---~- -~
ACTIVITY
-------------~-----
--~--------~U_-- ~
350l
3501
3501
3502
3504
3511
3524
3531
3532
3533
3534
3536
3541
3542
Fire
ACCOUNT
SERIES
3500
COMMENTARY
For 1967-68, one-half additional Fireman is budgeted,
beginning January 1,1968, to meet the rapidly increasing
workload of the department. In 1965, the Tustin Fire
Department answered 173 alarms. In 1966, the number of
alarms increased to 295. Of this number, 70 were rescues
and the growth of demands upon the department is expected
to continue. Fire prevention activities will be accelerated
as a major effort in reducing fire calls throughout the city.
As a result of the survey of salaries by Griffenhagen-Kroeger,
Inc., increases are budgeted in the various positions in this
department.
A reclassification of Assistant Fire Chief to Relief Commanding
Officer, and Secretary to Dispatcher Clerk is included in
Personal Services, based on the Griffenhagen-Kroeger, Inc.
classification recommendations.
One-half additional Fireman is budgeted to provide sufficient
company strength for increased calls.
Overtime for regular personnel on special call-out.
Estimated costs of volunteer fireman call-outs during 1967-68.
Rental charges on 284 fire hydrants within the City during
the year.
Gas, water and electric service in the fire station,
including gas and water service in the police building.
General office supplies.
Mail-out of departmental matters.
Includes basic monthly charge and toll calls during the year.
Maintenance of office equipment.
Stationery and special stencil reproductions used in fire
prevention activities.
Th~ purchase of badges, oxygen, gloves, canvas, batteries,
and other special fire supplies.
Additional and replacement tools for the rescue unit are
included in this account.
========~c=c CITY OF TUSTIN, CALIFORNIA
60
ANNUAL
BUDGET ===~
------------------------
-----
---~--------------
ACTIVITY
3543
3544
3549
3551
3554
3555
3573
3574
3584
3586
Fire
ACCOUNT
SERIES~ _____35~-
- ----------- -
Uniform replacement as required throughout the year.
Radio, resuscitator, projector, and tape recorder maintenance
costs.
Miscellaneous items not included in other object accounts.
Provides for the attendance of departmental personnel to
represent the City at various meetings and conferences
throughout the year.
Gasoline, oil, and lubrication for the five assigned
fire vehicles.
Non-routine maintenance and upkeep of fire units.
Memberships in various fire ássociations.
Subscriptions and publications relating to fire activities,
Third payment on fire pumper No.2 is included in this
account.
Special equipment includes a portable electric hacksaw.
CITY OF TUSTIN, CALIFORNIA
61
I
I
i
I
II
I:
!I
II
II
II
I
I
-~---=-_cc---,=~,-- c.=-- ------------- ANN U A L
DESCRIPTION OF FUNCTIONS
BUD GET =--,-cc=-===--'---------
-- -I
I
A~<g3~SNT---~OO~---1
___m___m -- ---II
I
I
I
i
I
I
--------~ - ---- ------------
I--ACTIVITY P~blic ~orks ~dministrati~~_-
Adcinistration and supervision of public works
activities, including engineering, waste collection,
sewers, street construction and maintenance, signals
and lighting, trees and parkways, and sidewalks and
alleys is the function of this account series.
EXPENDITURES
1965-66 1966-67 1966-67 ¡967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES . . . . . $19,897 $27,092 $25,112 $26,292
NON-PERSONAL EXPENSES 5,011 10,525 10,178 6,475
EQUIPMENT OUTLAY. . . . . . 475 468 610
CAPITAL IMPROVEMENTS,
TOTAL ACTIVITY. . . . . . . $24,908 $38,092 $35,758 $33,377
FUND DISTRIBUTION
GENERAL FUND. . . . . , . , . . . . . . . .
. . . .
1967-68
Budget
$33,377
Classification
TRAFFIC SAFETY FUND
. . . . . .
..........
SPECIAL GAS TAX FUND
. . . .
. . . . . .
MOTOR VEHICLE LICENSE FUND. . . . . . . . . . . . . . . .
SEWER MAIN TRUNK FUND
.,.............
TOTAL FUNDS
....,...,..............
$33,377
CITY OF TUSTIN, CALIFORNIA
62
II-~ - nn---~CC~~"~C="=---- ANN U A L BUD GET ==~---------=-~=-~=--I
rACTIVITY - -~==~\!ÞXiC_~~~~:-~:;:¡~~s~:ti:- I A~r3gNT~-~~-=~~~~-]
ACCOUNT DISTRIBUTION
1965-66 1966-67 1966-67 1967-68
Description Actual Budget Estimate Budget
---
PERSONNEL (& Range Number):
4001 Dir.of Public Works 1 (20) 1 (22) 1 (22) 1 (23)
4001 Asst. Civil Engineer 1 (17) 1 (17) 1 (17) 1 (18)
4001 Draftsman ~ (9) ~ (9) ~(11)
4001 Secretary ~(6) ~ (6)
4001 Principal Engr. Aide 1 (14)
TOTAL POSITIONS 3 3 3 2~
NON-PERSONAL EXPENSES:
4011 City Engineer $ 3,600 $ 3,600 $ 3,900 $ 3,600
4012 Contractual Services 122 1,500 1,500 500
4013 Storm Drain Plan 2,500 2,500 ----
4031 Office Supplies 5 150 175 200
4032 Postage 28 50 36 50
4034 Office Equip. Maint. 50 15 50
4036 Printing 564 900 543 700
4041 Departmental Supplies 191 250 204 150
4044 Special Equip. Maint. 50
4051 Travel & Meeting Exp. 470 1,200 1,300 1,200
4054 Vehicle Operation 100
4055 Vehicle Maintenance 15 150
4074 Publications 16 25 -,--,,5 25
TOTAL EXPENSES $ 5,011 $10,525 $10,178 $ 6,475
EQUIPMENT OUTLAY:
4084 Motor Vehicles $ $ $ $
4085 Office Equipment 475 468 610
TOTAL EQUIPMENT $ $ 475 $ 468 $ 610
CAPITAL IMPROVEMENTS:
None
CITY OF TUSTIN, CALIFORNIA =--'c=~cc=-,=,=_c=c==-=-~-,~
63
-~-- _u~-- ANNUAL BUDGET
1______--- - ---~--------- ------- --___nun
ACTIVITY
4001
4001
4001
4011
4012
4013
4031
4032
4034
4036
4041
4044
4051
=-=-=~===---~--==~=~ ---- =-1'
----- I A~~3gNT -=:=-~-~~o
__Public _.!'larks Admi!lj,stratio~-
COMMENTARY
In addition to its normal functions during 1967-68,
the Department will develop a cost accounting system
for tree and parkway maintenance in conjunction with
the Finance Department. The new system will enable the
Department to determine program costs more accurately and
implement more economical maintenance procedures.
An increase in the r~nges for Director of Public Work9,
Assistant Civil Engineer and Draftsman is budgeted, based
on the salary survey of positions by Griffenhagen-Kroeger,
Inc.
One position of Draftsm~n is budgeted half-time each in
this Department and the ~lanning Department to develop
graphic layouts, prepare maps, and perform 9ther engineering
and planning drafting.
The existing one-half position of Secretary is deleted from
the Public Works budget and transferred to City Clerk as
an Intermediate Typist Clerk,
Part-time services of the City Engineer by contract.
Anticipated soil testing and surveying which is not included
in specific construction projects during the 1967-68 year.
City-wide storm drain master p¡an completed in 1966-67
General office supplies.
Mail-out of departmental matters.
Maintenance of office equipment as required throughout the
year.
Outside blueprint and map reproduction services and supplies.
The purchase of tracing cloth and paper, pens, and related
items.
Maintenance of the City's blueprint reproduction machine.
Meeting expenses and mileage reimbursement for employees
in this account series.
,I
'~~=-=~~=~~==~~ CITY OF TUSTIN, CALIFORNIA
64
- ---- --- __H___-----------
ANNUAL
--Ii
ACCOUNT- -~---il
SERIES 4000 II
---- UU---!I
II
II
!I
BUDGET ~---,=,=~-=,-.-==~-==-----
ACTIVITY
----------------
__!,_uþli~- Works. Ad.!!l:inistration-
4054
4055
4074
4085
Gasoline, oil, and lubrication of the assigned pick-up
truck, now provided in Street ~aintenance Budget.
Non-routine maintenance and upkeep of the assigned vehicle,
now appropriated in Street Maintenance Budget.
Various subscriptions and books for the department.
Radio for Director of Public Works automobile to provide
field communications.
CITY OF TUSTIN, CALIFORNIA
I
__'i
65
_n -------c=c,---=,-_c===---=------- ANN U A L
I~- ACTI~ITY - - ~~5te c~lle~;ion
I -----~--_w-
BUD GET =---- - --- .. -I'
Aqt8~NT ~_420~~1
DESCRIPTION OF FUNCTIONS
The cost of the collection of rubbish from
City residential units and the abatement of
weeds is included in this account series.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES. $ $ $ $
NON-PERSONAL EXPENSES. . . 31,596 35,400 35,212 34,600
EQUIPMENT OUTLAY . ,
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY . . . $31,596 $35,400 $35,212 $34,600
FUND DISTRIBUTION
Classification
1967-68
Budget
GENERAL FUND. . . . , . .
..........
$34,600
TRAFFIC SAFETY FUND
................
SPECIAL GAS TAX FUND....................
MOTOR VEHICLE LICENSE FUND.
.........,...
I
II
Ii TOTAL FUNDS
I
:1
11_- -------------
----------~------~ CITY
SEWER MAIN TRUNK FUND. , .
..............
........................$34,600
II
I
I
i
I
_I
OF TUSTIN, CALIFORNIA ~---~~----c-~~~=~~~~=cc~~ - ..-
66
II~~ -=,=-======~-== ANN U A L
11--ACTIVITyn~aste Co11e-~tion-----
BUD G ET ---~==,-~
i
~--I
ACCOUNT
SERIES
4200
------
ACCOUNT DISTRIBUTION
Description
1965-66
Actual
1966-67
Budget
1966-67
Estimate
1967-68
Budget
PERSONNEL:
None
NON-PERSONAL EXPENSES:
4211
4212
Rubbish Collection
~veed Abatement
TOTAL EXPENSES
$30,614
982
$31,596
$34,600
800
$35,400
$34,412
800
$35,212
$33,800
800
$34,600
EQUIPMENT OUTLAY:
None
CAPITAL IMPROVEMENTS:
None
COMMENTARY
4211
Rubbish collection of residential areas is performed by
contract at City expense.
4212
Abatement of weeds on private property, performed by the City
after notice to abate weeds has been issued, becomes a tax
assessment to the property owner.
,====~~=~-~=~~== CITY OF TUSTIN, CALIFORNIA
67
- cc~cc.=-'--====------ ANN U A L
BUD GET =,=c.=--- -'-..-=c,'==--,-==-=-- --- --
I
I
ACCOU Nf--- 4 3-~~--1
SERIES - ----______1
I
I
II
Ii
I
I
I
I
¡-ACTIVITY
I
I
-----------
Sanitary Sewers
------- -
DESCRIPTION OF FUNCTIONS
The construction of new trunk sewers within the
City is a fun4tion of this activity and is
financed from fees charged when connections are
made to the City's sewer system.
EXPENDITURES
Classification
1965-66
Actual
1966-67
Budget
1966-67
Estimate
1967-68
Budget
PERSONAL SERVICES. .
$
$
$
$
NON-PERSONAL EXPENSES.
EQUIPMENT OU1LAY . .
CAPITAL IMPR(VEï.lENTS
FUND DISTRIBUTION
II
Ii
II
'I
II
I
i
i
II
¡I
II
Ii
II
!I
Ii
Ii
II
II
II
II
I:
---------_u_-- --- II
- - -
68
TOTAL ACTIV!!?Y , . .
$
$
$
$
C1ass~fication
1967-68
Budget
GENERAL FUN) . . . . . . . . . . . . . . . . . . . . . . . .$
TRAFFIC SA~TY FUND. . . . . . . . . . . . . . . . . .
SPECIAL GAS TAX FUND. . . . . . . . . . . . .
. . . .
MOTOR VEHICLE LICENSE FUND. . . . . . . . , , . . . .
SEWER MAI~ TRUNK FUND
................
TOTAL FUNCS
. . . . .$
........,.....,.
CITY OF TUSTIN, CALIFORNiA
-- no ---
-----~-- ANNUAL
BUD GET -----C7~C=C~CCC'=:--==-=-=----'
--------~~-
- ---~- -----
ACTIVITY
____J3a~_ta~y Sewers
-------~--------- -
ACCOUNT DISTRIBUTION
Description
1965-66
Actual
1966-67
Budget
PERSONNEL:
None
$
$
NON-PERSONAL EXPENSES:
None
EQUIPMENT OUTLAY:
None
CAPITAL IMPROVEMENTS:
4383
Trunk Sewer Construction
COMMENTARY
-- --- ---- - -
ACCOUNT
SERIE$____~}J>°_-
1966-67
Estimate
1967-68
Budget
$
$
-~'i'-
t----
----
4383
Construction of new trunk sewers by the Cjty is not anticipated
in 1967-68.
:,~~===~==:_===7==~==~ CITY OF TUSTIN, CALIFORI\jIA
69
I[
II
'I
II
I
,
I
I
,
I
I
II
_I,
II~~~ ~cc=~-=-~ -- ~ N N~~~ BUD GET
Ii ACTIVITY Street Construction
1-- ---------- --
I
I
------------
__n_------------------ --
ACCÖUt-Ù----~oo~1
SERIES n -- ----.I
DESCRIPTION OF FUNCTIONS
Expenditures for the construction and improvements on
major and local streets, including necessary right-of-
way acquisition and project engineering, are included
in this account. Construction may include traffic
signals, signs, grading, paving, drainage structures,
curbs, gutters, driveway aprons, street trees, and
related work,
EXPENDITURES
Classification
1965-66
Actual
1966-67
Estimate
1967-68
Budget
1966-67
Budget
PERSONAL SERVICES. .
$
$
$
$
NON-PERSONAL EXPENSES.
EQUIPMENT OUTLAY. .
CAPITAL IMPROVEMENTS. . .
110,202
196,471
103,400
169,015
TOTAL ACTIVITY. . , . . .
$110,202
$103,400
$169,015
$196,471
FUND DISTRIBUTION
Classification
1967-68
Budget
GENERAL FUND.
$
1,000
................
TRAFFIC SAFETY FUND.
46,000
.............
SPECIAL GAS TAX FUND. . . . . . . . . . . . . . . . . . .
51,400
MOTOR VEHICLE LICENSE FUND. . . . . . . . . . . . . . . ,
5,000
SEWER MAIN TRUNK FUND. . . . , . . . . . . . . . . . . . .
TOTAL FUNDS
$103,400
. . . . .
...............
~~~==~~=-------~ CITY OF TUSTIN, CALIFORNI/\
--~---
70
II
II
Ii
I
I
II
II
Ii
II
II
II
Ii
,I
II
I
II
Ii
'I
II
II
II
II
Ii
¡I
---- ---- -,-
I ~=.ccc_,=c::--_::"'C:_"'=-=-'=== ANN U A L
I ACTIVITY St;~~~~ons-~~cti-on
---~-----~-----------~~_u m_~ -~--_u
BUD GET ------------- - - - --~
---------------------~-~- - - --II
ACCÖUNT --~~~~--ll
SEB,[ES____- ___I
ACCOUNT DISTRIBUTION
1965-66 1966-67 1966-67 1967-68
Description Actual Budget Estimate Budget
PERSONNEL:
None
NON-PERSONAL EXPENSES:
None
EQUIPMENT OUTLAY:
None
CAPITAL IMPROVEMENTS:
5093 Street Improvements $110,202 $169,015 $196,471 $103,400
The following pages outline the budgeted Streets
Capital Improvement Program for the fiscal year
1967-68.
Work will be performed under City contract or by
agreement with other agencies.
CITY OF TUSTIN, CALIFORNIA
71
- -=c=-o.--o===--c_----- ANN U A L
- ------------~---
- ------------~~~~=~n_=11
A~rÆr~sNT -_5_o~0_1
BUDGET
___n---------- -- ------~---- ____n___-
ACTIVITY
1.
Street Construction
------------
STREETS CAPITAL IMPROVEMENT PROGRAM: 1967-68
Location
Type of ~vork
STREET CONSTRUCTION
1.
Williams Street
Main Street to
McFadden Street -
Two lane improvement
Engineering
Construction
Total
2.
B Street
First Street to
Main Street -
Two lane improvement
with curb and gutter
'fatal
Engineering
Construction
Budget Amount
$ 3,250
25,000
$ 28,250
$ 2,750
18,000
$ 20,750
Total Street Construction $ 49,000
II. TRAFFIC SIGNALS
1.
Fourth Street at Irvine Boulevard (Triangle)
2.
Red Hill Avenue at Edinger Street (1)
Total Traffic Signals
III. CENTER DIVIDERS
I
I
I
I
!I
'I
II
!I
11
II
II
I
I
I
1.
Red Hill Avenue - A.T.& S.F. Railroad
to Walnut Avenue (1)
2.
Fourth Street and Irvine Boulevard (Triangle)
Total Center Dividers
IV. LANDSCAPING
1.
Warner Avenue (2)
Newport Freeway to Red Hill Avenue
2.
Newport Avenue under Freeway (3)
Landscaping and sidewalks
CITY OF ïUSTIN, CALIFORr~IA
$ 18,000
1,400
$ 19,400
$ 25,000
1,000
$ 26,000
$
3,000
5,000
72
-~----,---~-""_cc,--------- ANNUAL
BUDGET ---------_cc==,==c=~--
II
'[------
11 ACTIVITY
1---
I
i
-------------------- --- ----
----------
------
ACCOUNT
SERIES 5000.
Street Construction
IV. LANDSCAPING (Cont'd.)
3.
Street Trees
Landscaping along freeway
and residential street trees
Total Landscaping
$
$
1,000
9,000
GRAND TOTAL STREETS CAPITAL IMPROVEMENT PROGRfu~
$103,400
(1)
(2)
(3)
Joint Tustin and Orange County projects.
Joint Tustin and Santa Ana project.
Joint Tustin and State Highway project.
=~,==-~=~,===-==c====c CITY OF TUSTIN, CALIFORNIA =
73
,--~~=c_'-'_cC--=------ ANN U A L
II-ACTIVITY -- Str~et M~intenance
'1-------- - -
I
I
I
BUDGET
- --~------- ---------- ---
--- ----~-------------
----- - -- ---
ACCOUNT
- SERIES
5600
DESCRIPTION OF FUNCTIONS
The maintenance of streets, alleys, traffic-
signals, parkways, sidewalks, street trees,
and other facilities in the public right-of-
way are classified as "Street Maintenance".
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES. . $17,562 $32,469 $36,252 $45,054
NON-PERSONAL EXPENSES. . . 33,987 49,875 48,120 51,300
EQUIPMENT OUTLAY. . 435 2,300 2,379
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY. . . $51,984 $84,644 $86,751 $96,354
FUND DISTRIBUTION
Classification
1967-68
Budget
$73,354
GENERAL FUND.
. . . . , . , 0 . . . . . . . .
TRAFFIC SAFETY FUND.
. , . . .
. . . . .
SPECIAL GAS TAX FUND. . . . . . . . , . . . . . . . . . .
23,000
MOTOR VEHICLE LICENSE FUND, . . . . . . . . , . . . . . .
SEWER MAIN TRUNK FUND. . , . .
. . . . . . . . . . .
TOTAL FUNDS
$96,354
. . . . . .
..............
-"--- --------=~~~=c==== CITY OF TUSTIN, CALlFOR¡~¡A-=n
74
___Ii
!I
I
- --I
I
I
I
I
I
II
I
I
ANNUAL
Description
1965-66
Actual
BUD GET ==-=~~~==~c~~,=,====o===--==, ~ ~~-c~"
I'
ACCOUNT~- ~~~5~-6--00 -II
SERIES ¡
--I
I
I
I
Ii
II
Ii
I
1966-67
Budget
1966-67
Estimate
~~~~-----~~ --~--~-~~
~~~~~~-----~ - ~~--- ----~-~--~-~-
ACTIVITY
Street Maintenance
ACCOUNT DISTRIBUTION
1967-68
Budget
PERSONNEL (& Range Number):
5601
5601
5601
5601
Maintenance Foreman
Senior Maintenanceman
Maintenanceman
Motor Sweeper Operator
TOTAL POSITIONS
Overtime
1 (13) 1 (13) 1 (13)
1 (8) 1 (9) 1 (9)
2 (7) 3 (8) 3 (8) 5 (8)
1 (10)
3 5 5 7
$ 1,000 $ 1,000 $ 1,000
5602
$
NON-PERSONAL EXPENSES:
5611 Signal Maintenance $ 1,100 $ 2,325 $ 2,519 $ 4,000
5612 Signal & Light Energy 1,044 1,900 2,755 3,500
5613 Sign Maint. & Striping 2,223 2,800 2,800 3,000
5614 Sidewalk Construction 1,016 1,000 598 1,000
5615 Street Tree Maintenance 7,961 7,000 9,893 7,200
5616 Street & Alley Repairs 11,044 22,600 15,025 16,000
5641 Departmental Supplies 6,384 8,000 10,406 11,000
5642 Small Tools 537 700 696 700
5643 Uniforms 357 100
5644 Special Equip. Maint. 50 208 300
5654 Vehicle Operation 877 1,000 883 1,000
5655 Vehicle Maintenance 1,800 2,500 1,980 3,500
TOTAL EXPENSES $33,986 $49,875 $48,120 $51,300
EQUIPMENT OUTLAY:
5684 Motor vehicles $ $ $ $
5686 Special Equipment 435 2,300 2,379
TOTAL EQUIPMENT $ 435 $ 2,300 $ 2,379 $
CAPITAL IMPROVEMENTS:
None
=======~ CITY OF ïUSTIN, CALIFORr'-JIA ~~.-
75
ACTIVITY
'-'C-'CC--=='=-=--'--~== ANN U A L
BUD GET c-,---- c-",_c--",=c=------=-c~,-=-===--------
----------- ---- -
Street Maintenance
ACCOUNT
SERIES
5600
- -- --------~-----------...
--------
5601
5601
5601
5602
5611
5612
5613
5614
5615
5616
5641
5642
5643
COMMENTARY
The Street Maintenance budget for 1967-68 includes funds
for resurfacing Main Street and liD" Street in the downtown
area. Provision is also made for sidewalk construction
and street tree maintenance throughout the City at approxi-
mately the same level as the previous fiscal year. Increases
in the budget are related to growth in miles of City streets
from 31.68 to 33.04 during 1966-67. In addition, the number
of signalized intersections to be maintained has increased
from 4 in 1965-66 to 18 during the current year.
The Senior Maintenanceman position is reclassified to
Maintenanceman as recommended by the Griffenhagen-Kroeger,
Inc., classification study,
One additional Maintenanceman position is budgeted primarily
for work on street repairs.
One Motor Sweeper Operator position is added for use with
the City street sweeper,
Overtime for emergency crew call-outs during the year.
Maintenance by contract of all traffic signals within the City.
Energy charges on traffic signals and safety lights.
Maintenance and replacement of traffic signs and certain new
striping by outside contract.
Sidewalk and curb repair and construction when performed by
other than City crews.
Certain major maintenance and removal of street and parkway
trees.
General repairs, patching, and other maintenance of City
streets and alleys by outside contract.
Special supplies include sweeper brooms, street name signs,
lumber, cement, and other related maintenance items.
This is the third of a four year program to purchase various
small tools used in street maintenance activities.
Uniforms for Street Maintenance crews.
CITY OF ïUSTIN, CALIFORNI,A,
76
II
I,
II
II
I'
If
II
I
II
II
II
II
II
II
II
II
'I
II
_c=~,-,-~:-~=,~=====-==--~--= ANN U A L
BUDGET
I
I--~---__~_n -------~~_____n~n_~___-
: ACTIVITY Street Maintenance
I' ---------~.
-~- -~-
ACCOUNT 5600
SERIES
-----~----I
5644
Maintenance of the traffic striping machine and skip loader.
5654
Gas~lin~, oil, and lubrication of assigned vehicles.
5655
S~reet sweeper and trucks non-routine maintenance as may be
"equired throughout the year.
- !I
II
Ii
II
Ii
II
I
i
I______---~~~~--~:-== CITY OF TUSTIN, CALIFORNIA
I
I-ACTMTY--- ~ -; ~ ; ;-;~~~~~- -- - -----
\--
ANNUAL
BUDGET -
-~~---~-~~~=I
ACCOUNT 8100
SERIES ----_u_-
---~--_u_--__n_-
- ------ ---
- ------ ---
------- -- -----
DESCRIPTION OF FUNCTIONS
Expenditures of the Parks and Recreation Commission
and the maintenance and improvements of the Tustin
Area Youth Center are the functions of this account
series.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Classification Actual Budget Estimate Budget
PERSONAL SERVICES. . . . . $ 5,811 $ 6,294 $ 6,315 $ 6,048
NON-PERSONAL EXPENSES. . . 2,574 3,215 3,823 3,535
EQUIPMENT OUTLAY , . , . . 563 500 480 416
CAPITAL IMPROVEMENTS
TOTAL ACTIVITY. . . $ 8,948 $10,009 $10,618 $ 9,999
FUND DISTRIBUTION
1967-68
Budget
Classification
GENERALFUND.......,.....,.........
$ 9,999
TRAFFIC SAFETY FUND. . . . . . . . . . . . . , . . ,
SPECIAL GAS TAX FUND. , . . . . . . . . . . . . . ,
MOTOR VEHICLE LICENSE FUND. . . . . . . . . . . . .
SEWER MAIN TRUNK FUND.
. . . . , , . , .
TOTAL FUNDS
.."..........
$ 9,999
-==~---- -----=cc CITY OF TUSTIN, CALIFORNIA
78
"- -=- ,--,,===cc==-,=-------- ANN U A L
~------ ~--~----
ACTIVITY
Park Facilities
BUD GET ------~-----
------~--=~-==-=j .
A~f~gNT_- --~-~OO_J
I
~------~----~---~
ACCOUNT DISTRIBUTION
1965-66 1966-67 1966-67 1967-68
Actual Budget Estimate Budget
1 (8) 1 (9) 1 (9)
1 (8)
1 1 1 1
135 $ 30 $ 51 $ 300
Description
PERSONNEL (& Range Number):
8101
8101
Senior Maintenanceman
Maintenanceman
TOTAL POSITIONS
8102
Overtime
$
NON-PERSONAL EXPENSES:
8123 Building Maintenance $ 39
8124 Utilities 831
8132 Postage 88
8133 Telephone 83
8141 Departmental Supplies 102
8142 Small Tools 11
8144 Special Equip. Maint. 197
8148 Special Expense Reim. 739
8149 Sundry
8151 Travel & Meeting Expense 484
$ 2,574
TOTAL EXPENSES
EQUIPMENT OUTLAY:
8186
Special Equipment
$
563
CAPITAL IMPROVEMENTS:
None
$ 300 $ 1,069 $ 600
850 921 900
100 124 100
55 103 100
200 111 200
25 25 25
225 121 150
960 1,040 960
126
500 183 500
$ 3,215 $ 3,823 $ 3,535
$
416
$
480
$
500
===~~-----~----== CITY OF TUSTIN, CALIFORNIA
79
II
¡i----n -~--_. . ------ --------
Ii ACTIVITY Park Facilities
I'---------~--~~~--~-
I
I,
II
Ii
____n--.--
8102
8123
8124
8132
8133
8141
8142
8144
8148
8151
8186
. -.---------.......-
ANNUAL
n__._n_____u_-... --
__.__.n_...._-~--------._-
BUD G E T~--
__n_nu_n..
ACCOUNT
SERIES
8100
COMMENTARY
Maintenance of the Tustin Area Youth Center and
activities of the Parks and Recreation Commission
are included in 1967-68 under Park Facilities. New
City beautification efforts are budgeted in Department
5000, Street Construction. Street Maintenance,
Department 5600, provides funds for tree and parkway
maintenance. Recreation is the activity of Department
8200.
Overtime is budgeted for occasional operation of the
Tustin Area Youth Center after normal duty hours and
on weekends.
Routine maintenance and painting of the park site.
Gas, electric, and water.
Mail-out of Park and Recreation Commission matters.
Telephone service for the pay booth at the Tustin Area
Youth Center.
Special supplies and items at the Tustin Area Youth
Center throughout the year.
Miscellaneous small tools and equipment.
Maintenance of lawnmowers and garden equipment.
Reimbursement of expenses incurred by members of the
Parks and Recreation Commission in conducting Commission
business and related matters.
Provides for reimbursement of expenses for various functions
attended by members of the Parks and Recreation Commission
throughout the year.
Replacement of a non-serviceable vacuum sweeper unit.
=--~-,~=~~=~===~~=~---= CITY OF TUSTIN, CALlFOR¡~IA
80
~ n~ -~----__n__u-
~ ACCOUNT -- -Ii
SERIES 8200 i
--n_n/
I
II
,
I
I
___n_- __n_un_nn--__----_- ANNUAL
BUD GET ==CCn
II
___n__n_n-- _____n -_n - ---------
linn-ACTIVITY
II ------__nn_--
II
!I
'I
Ii
I'
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II
'I
!
il
, II
ii
I
II
III,.. PERSONAL SERVICES. . . . .
NON-PERSONAL EXPENSES. . .
Ii EQUIPMENT OUTLAY. .
CAPITAL IMPROVEMENTS
Recreation
DESCRIPTION OF FUNCTIONS
Recreation includes programs, special events
and related services at the Tustin Area Youth
Center and other facilities during the year,
and at certain school sites during the summer.
EXPENDITURES
1965-66 1966-67 1966-67 1967-68
Actual Budget Estimate Budget
$10,810 $12,900 $12,900 $14,000
1,320 2,905 3,758 3,705
Classificàtion
TOTAL ACTIVITY. . .
$16,658
$17,'905
$12,130
$15,805
FUND DISTRIBUTION
"
-- "
il
,:
:'
Classification
GENERAL FUND.
..........,.......
TRAFFIC SAFETY FUND. . . . . , .
. . . . . .
SPECIAL GAS TAX FUND. . . . . .
MOTOR VEHICLE LICENSE FUND. . . . . . . . . . . . . . .
SEWER MAIN TRUNK FUND, . . . . . . . . . . . . . . . . .
TOTAL FUNDS
......................
--~--============== CITY OF TUSTIN, CALIFORr~IA
1967-68
Budget
$17,705
$17,705
81
,
I
II
I
I
II
II
q
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I
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II
II
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:
~ ~--'-"-=-"-_C-~~=-~ -------
ANNUAL
BUD GET =c~c cc ' - 'c c-'==,======~c -
-----'-----~----- ,
ACTIVITY
Recreation
ACCOUNT
SERIES
8200
ACCOUNT DISTRIBUTION
1965-66 1966-67 1966-67 1967-68
Description Actual Budget Estimate Budget
PERSONNEL (& Hourly Rate):
8203 Recreation Director 1 (2.75) 1 (2.75) 1 (2.75) 1 (3.25)
8203 Recreation Specialist 5 (2.25) 5 (2.25) 5 (2.25)
8203 Sr. Recreation Leader 5 (2.25). 7 (2.25) 7 (2.25) 10 (2.50) i
8203 Jr. Recreation Leader 7 (1. 50) 17 (1. 50) 17 (1.50) 12 (1. 75) I
TOTAL POSITIONS 18 30 30 23 '1
NON-PERSONAL EXPENSES:
8232
8241
8244
8249
8251
8256
Postage
Departmental Supplies
Special Equip. Maint.
Sundry
Travel & Meeting Expense
Vehicle Rental
$
31
616
10
79
46
538
$ 30 $ 30 $ 30
700 1,350 1,100
25
100 184 325
50 150 150
2,000 2,044 2,100
$ 2,905 $ 3,758 $ 3,705
TOTAL EXPENSES
$ 1,320
EQUIPMENT OUTLAY:
None
CAPITAL IMPROVEMENTS:
None
i
Ii
"
il
II
'I
II
Ii
II
i ~
i
II
,.
--===~~~===c== CITY OF TUSTIN, CALIFORNIA,
u',
82
- - -- u- ---
------------------
ANNUAL
BUD GET =~,~-~---=c_=~=,-====cc=,==--=-
------~--
ACTIVITY
8203
8203
8232
8241
8244
8249
8251
8256
- ---------~ n ---___n~__- -
Recreation
ACCOUNT
SERIES
----~~ - ------
COMMENTARY
The Recreation Program for 1967-68 will be conducted
at four school sites, and will include sports, and
arts and crafts instructional programs. The excursion
and day camp programs will be continued and approximately
2,300 participants are anticipated for the year in all
programs.
As a result of the survey of salaries by Griffenhagen-
Kroeger, Inc., increases in hourly rates for all class-
ifications are budgeted.
The position of Recreation Specialist is combined with
Senior Recreation Leader in accordance with the recommenda-
tions of the Griffenhagen-Kroeger, Inc. classification
study.
Mail-outs of recreational matters.
Purchase of sports equipment, arts and crafts supplies,
and special awards.
Maintenance of various recreation equipment as required.
Supplies not budgeted in other expenditure accounts are
classified as Sundry
Provides mileage reimè~rsement for the Recreation Director
for travel between the various recreation sites.
Rental of charter bus for scheduled daily excursion programs
during the summer.
=c~======~~===~~==~c= CITY Or TUSTIN, CALiFORì'~IA
83
8200
I'
I
ii
II
Ii
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